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John Snow's chequebook lists the following: Date Nov Cheque # Item Cheque Deposit 1 4 9 622 $39 $116 13 14 18 26 28 30

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John Snow's chequebook lists the following: Date Nov Cheque # Item Cheque Deposit 1 4 9 622 $39 $116 13 14 18 26 28 30 623 624 625 626 627 Horizon Utility Dividends Canadian Tire Petro-Canada Cash Faith of the Seven Church Affordable Housing Paycheque 43 58 50 25 275 Balance $505 466 582 539 481 431 406 131 877 746 The November bank statement shows: Balance Add deposits Deduct cheques $505 116 No. 622 623 624 625 Amount $39 43 85 50 Other charges NSF cheque Service charge Balance $8 12 $384 1. Prepare John Snow's bank reconciliation at November 30th

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