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om/was/ui/v2/assessment-player/index.html?launchld=cac7fb89-1ae0-45ef-9f6e-Odd6ff2024b2#/question/1 LE Th SOUTLOOK MAIL New Tab WP WileyPLUS342 G moodle G moodle.selkirk.ca -... uestion 2 of 6 < > CRANE LTD. Bank Statement
om/was/ui/v2/assessment-player/index.html?launchld=cac7fb89-1ae0-45ef-9f6e-Odd6ff2024b2#/question/1 LE Th SOUTLOOK MAIL New Tab WP WileyPLUS342 G moodle G moodle.selkirk.ca -... uestion 2 of 6 < > CRANE LTD. Bank Statement March 31 Amounts Amounts Added Date Feb. Description Deducted from Account (Debits) to Account (Credits) Balance 28 Opening balance 18,096 Mar. 11249022225 Cheque, No. 3451 1,957 16,139 Deposit 3,110 19.249 Cheque, No. 3470 2,144 17.105 Deposit 1,974 19.079 Cheque, No. 3471 1,679 17,400 Returned cheque-NSF, J. Mustafa 878 16.522 NSF fee 35 16.487 EFT, loan payment 1,203 15.284 Cheque, No. 3472 1,843 13,441 26 Deposit 3.239 16,680 31 EFT, collection on account from M. Boudreault 606 17.286 31 Bank service charges and credit card fees 89 17.197 81 Crane's cash receipts and payments for the month of March showed the following: 9 4 5 8
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