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Hannah Company Needs To Make Journal Entries For Each Of The Following Reconciling Items Identify The Account To Be Debited And The Account To Be
Hannah Company Needs To Make Journal Entries For Each Of The Following Reconciling Items Identify The Account To Be Debited And The Account To Be Credited In Each Case. For Each Item, Input Debit Responses First. For Item 3order Credit Responses In Order Of Decreasing Dollar Amount 1 A Check For $172 Written To The Company By J.
Hannah company needs to make journal eateries for each of the following reconciling items.
Question 9 of 15 -/1E Hannah Company needs to make journal entries for each of the following reconciling items. Identify the account to be debited and the account to be credited in each case. For each item, input debit responses first. For item 3, order credit responses in order of decreasing dollar amount 1. A check for $172 written to the company by J. Chandler was returned NSF 2 The monthly service charge by the bank was $18. 3. The bank collected a $2,000 note plus interest of $200 on the company's behalf. The company had not accrued the interest. 1 2 Debit/Credit Account Titles DELL Debit/Credit Acco
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