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Hawk Enterprises identified the following items on its January reconciliation that may require adjusting entries: a. A deposit of $664 was recorded in Hawk's accounting

image text in transcribed Hawk Enterprises identified the following items on its January reconciliation that may require adjusting entries: a. A deposit of $664 was recorded in Hawk's accounting records, but not on the January 31 bank statement. b. A check for $5,444 was outstanding at January 31 . c. Included with the bank statement was a check for $300 written by Hooper Advertising Services. The bank had, in error, deducted this check from Hawk's account. d. Bank service charges were $250. account. Required

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