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Homework Saved He Check my work mode : This shows what is correct or incorrect for the work you have completed so far. It does

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Homework Saved He Check my work mode : This shows what is correct or incorrect for the work you have completed so far. It does not indicate com Bank's Cash Balance Per Bank Statement Deposits Outstanding Checks Outstanding $ 22,409 1,795 (1,370) Company's Cash Balance Per General Ledger $ 22,880 Service Fees (46) Bank Balance per Reconciliation $ 22,834 Company Balance per Reconciliation $ 22.834 2. Record the necessary entrylies) to adjust the balance for cash. (If no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.) Answer is not complete. Date General Journal 1 July 31, 2021 No Debit Credit Cash 2 July 31, 2021 Insurance Expense Cash

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