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John just prepared the bank reconciliation for the month of May. This is one of the reconciling items on the bank reconciliation: Cheque #628 was
John just prepared the bank reconciliation for the month of May. This is one of the reconciling items on the bank reconciliation: Cheque #628 was correctly written and paid by the bank for $120, to pay for the company's accounts payable. It was entered in the accounting records as $210. Required: Prepare the journal entry (only one), if any, required from the reconciling item(s), or identify ne entry is needed
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