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give me written explanation also Instructions Enter and post various transactions in the General Journal IN THE WAVES SOFTWARE.. Display Bank Reconciliation Statement JOURNAL ENTRIES

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Instructions Enter and post various transactions in the General Journal IN THE WAVES SOFTWARE.. Display Bank Reconciliation Statement JOURNAL ENTRIES :- 1. CASH SALES - 2656 ( DOLLARS ) 2. ACCOUNTS RECEIVABLE 1982 ( DOLLARS ) 3. ACCOUNTS PAYABLE - 576 (DOLLARS ) 4. ACCOUNTING FEES - 288 (DOLLARS ) 5. INTEREST EXPENSE 882 ( DOLLARS ) 6. PAYROLL LIABILITIES 9768 ( DOLLARS ) 7. GAINS ON FOREIGN EXCHANGE 2282 (DOLLARS ) 8. RENT PAID - 898 (DOLLARS) WRITTEN EXPLAINATION OF JOURNAL ENTRIES ON PAPER/SHEETS *ONE PDF FILE SUBMISSION

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