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Jade Co. writes five checks in November for a total of $10,000 but they do not show up on the November bank statement. How would
Jade Co. writes five checks in November for a total of $10,000 but they do not show up on the November bank statement. How would these checks be treated on the bank reconciliation? O A. Add to the bank balance. O B. Add to the company balance. O C. Subtract from the company balance. OD. Subtract from the bank balance. Reset Selection
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