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D Question 19 0.43 pts Foyle Company needs to make adjusting entries for the following reconciling items. Identify the account to be debited and the
D Question 19 0.43 pts Foyle Company needs to make adjusting entries for the following reconciling items. Identify the account to be debited and the accounts to be credited Question 20 0.43 pts At August 31 Kiner Company has this bank information: cash balance per bank $9.450; outstanding checks $762; deposits in transit $1,700; and a bank service charge $20. Determine the adjusted cash balance per bank at August 31, 2014. Canvas requires answer must have no commas, no dollar signs, simply enter the number
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