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During the month of July, Clanton Industries issued a check in the amount of $834 to a supplier on account. The check did not clear

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During the month of July, Clanton Industries issued a check in the amount of $834 to a supplier on account. The check did not clear the bank during July. In preparing the July 31 bank reconciliation, the company should Multiple Choice 0 Make a journal entry in the company records for an error 0 0 Add the check amount to the bank balance. Add the check amount to the book balance of cash 0 C) Deduct the check amount from the book balance of cash 0 o 0 Deduct the check amount from the bank balance

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