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E7.24 (Bank Reconciliation and Adjusting Entries) Kipling plc deposits all receipts and makes all payments by check. The following information is available from the cash

image text in transcribed "E7.24 (Bank Reconciliation and Adjusting Entries) Kipling plc deposits all receipts and makes all payments by check. The following information is available from the cash records. Month of July Results Instructions a. Prepare a bank reconciliation going from balance per bank and balance per book to correct the cash balance. b. Prepare the general journal entry or entries to correct the Cash account

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