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Hawkeye Co. needs to complete its November 30th bank reconciliation. The following information is available: Hawkeye Co.s accounting records show a $67,800 cash balance as

Hawkeye Co. needs to complete its November 30th bank reconciliation. The following information is available: Hawkeye Co.s accounting records show a $67,800 cash balance as at November 30th. The November bank statement shows an ending balance of $72,130. Hawkeye wrote cheques totalling $39,000 during November, of which $31,000 have cleared the bank. There are no remaining outstanding cheques that were written before Nov

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