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Intermediate Accounting. Assignment B.Baylor, the controller of the Baylor Company provided the following information www.my SUIT The cash account in the general ledger appeared as

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Intermediate Accounting. Assignment B.Baylor, the controller of the Baylor Company provided the following information www.my SUIT The cash account in the general ledger appeared as follows co November 30 Gatican calie 3 11 C HUN 34 LIST 4.703 > 3371 The following bank statement is available for November 2000 No tipatients titant 64 2. 00 09 1. 28 12 2012 ASTUS 16 1. 14 101 HAVE Nice QI Prepare a bank reconciliation for Baylor Company for the month of November 2020. Assume that any tror made were by the bookkeeper choque 547 was for advertising expenses, the deposit of November 9 was regarding a credit customer, Val Pacino) 02 Prepare the necessary entries resulting from the bank reconciliation 8:30 I LTE 4 X Intermediate Accounting... Intermediate Accounting - Assignment B.Bayke, the controller of the Baylor Company provided the following information 50 Sche Se SU The cash account in the general ledger appeared as follows on November 30 yet 12 16 13 A LON The following bank statement is available for November 2000, Com we no we 1 WS - CS Chaye INSS QI Prepare a bank reconciliation for Baylor Company for the month of Nomber 2030. Awane enor made were by the bookkeeper (cheque #547 wasser hvertising expenses the deposit of November 9 was regarding a credit customer. V Pacino) 02 Prepare the necessary entries resulting from the bank Reconciliation Intermediate Accounting. Assignment B.Baylor, the controller of the Baylor Company provided the following information www.my SUIT The cash account in the general ledger appeared as follows co November 30 Gatican calie 3 11 C HUN 34 LIST 4.703 > 3371 The following bank statement is available for November 2000 No tipatients titant 64 2. 00 09 1. 28 12 2012 ASTUS 16 1. 14 101 HAVE Nice QI Prepare a bank reconciliation for Baylor Company for the month of November 2020. Assume that any tror made were by the bookkeeper choque 547 was for advertising expenses, the deposit of November 9 was regarding a credit customer, Val Pacino) 02 Prepare the necessary entries resulting from the bank reconciliation 8:30 I LTE 4 X Intermediate Accounting... Intermediate Accounting - Assignment B.Bayke, the controller of the Baylor Company provided the following information 50 Sche Se SU The cash account in the general ledger appeared as follows on November 30 yet 12 16 13 A LON The following bank statement is available for November 2000, Com we no we 1 WS - CS Chaye INSS QI Prepare a bank reconciliation for Baylor Company for the month of Nomber 2030. Awane enor made were by the bookkeeper (cheque #547 wasser hvertising expenses the deposit of November 9 was regarding a credit customer. V Pacino) 02 Prepare the necessary entries resulting from the bank Reconciliation

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