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In Bank reconciliation a supplier check for 30,000 was incorrectly recorded in the company book as 300,000 a. Deduct from the book $270,000 b. Deduct
In Bank reconciliation a supplier check for 30,000 was incorrectly recorded in the company book as 300,000 a. Deduct from the book $270,000 b. Deduct from the bank $270,000 OC Add in the bank $270,000 d. Add in the books $270,000
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