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kang please solve it Consider the following information and prepare a bank roconciliation, along with any resilting journal entries, for Star inc, for the month
kang please solve it
Consider the following information and prepare a bank roconciliation, along with any resilting journal entries, for Star inc, for the month ended December 31 , 2015 Please enter joumal entres for each of the following, if required. 1. Oututanding deposit 2. Interest earnod 3. NSF cheque 4. Bank service charge 5. Error 6. Notes receivable collected 7. Outstanding cheque Choque #308, for office supplies in the amount of $928 was recorded in the Cash Disbursements Joumat incorrecty as $9,28.. The NSF cheque for $300 was trat of a custonat: a) Propare a bark reconciliation. for Star ine, for the mantiv ended Docember 31.2015 Step by Step Solution
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