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Holden Corp The following bank statement was received. Prepare a bank reconciliation for December: Additional Information: The NSF cheque was received in November from Gulf
Holden Corp The following bank statement was received. Prepare a bank reconciliation for December: Additional Information: The NSF cheque was received in November from Gulf Corp. for a sale dated November Additional Information: The NSF cheque was received in November from Gulf Corp. for a sale dated November
b Prepare the appropriate adjusting entries on December Hint: Some additional information is provided below but where else might you look to find details relevant to preparing the adjusting entries?
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