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In preparing its bank reconciliation at December 31, 2022, Granville Company had available the following data: Balance per bank statement, 31/12/22 Deposit in transit,

In preparing its bank reconciliation at December 31, 2022, Granville Company had available the following

In preparing its bank reconciliation at December 31, 2022, Granville Company had available the following data: Balance per bank statement, 31/12/22 Deposit in transit, 31/12/22 Outstanding cheques, 31/12/22 Amount erroneously credited by the bank to company's account, 28/12/22 Bank service charges for December Granville Company's adjusted cash balance at December 31, 2022, is $40,035 6,300 7,450 200 120

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