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need help with part B Cheyenne Corp. Bank Reconciliation Duly 31 Cash balance per bank statement 7743 Add Deposits in transit 1740 9483 Less Outstanding

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Cheyenne Corp. Bank Reconciliation Duly 31 Cash balance per bank statement 7743 Add Deposits in transit 1740 9483 Less Outstanding checks 599 Adjusted cash balance per bank 8884 Cash balance per books 7764 Add Collection on electronic funds transfer 1156 8920 Less Bank service charge 36 Adjusted cash balance per books 8884 SHOW LIST OF ACCOUNTS SHOW SOLUTION SHOW ANSWER LINK TO TEXT By accessing this Question Assistance, you will learn while you earn points based on the (b) Journalize the adjusting entries at July 31 on the books of Cheyenne Corp.. (Credit account titles are auto. Date Account Titles and Explanation Debit Credit July 31 (To record the collection of accounts receivable.) July 31 36 Cash 36 (To record the bank service charge.) LINK TO TEXT By accessing this Question Assistance, you will learn while you earn points based on the Point Potential Policy set there to search o BE

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