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ORIOLE COMPANY Bank Reconciliation July 3 1 , 2 0 2 2 Cash balance per bank statement Add : Deposits in transit Adjusted cash balance
ORIOLE COMPANY Bank Reconciliation July Cash balance per bank statement Add : Deposits in transit Adjusted cash balance per bank $ $ Add Electronic funds transfer received Bank service charge Adjusted cash balance per books eTextbook and Media List of Accounts Attempts: of used b Prepare a tabular analysis for the adjustments at July on the books of Oriole Company. Include margin explanations for the changes in revenues and expenses. If a transaction results in a decrease in Assets, Liabilities or Stockholders' Equity, place a negative sign or parentheses in front of the amount entered for the particular Asset, Liability or Equity item that was reduced. July
ORIOLE COMPANY
Bank Reconciliation
July
Cash balance per bank statement
Add
:
Deposits in transit
Adjusted cash balance per bank
$
$
Add
Electronic funds transfer received
Bank service charge
Adjusted cash balance per books
eTextbook and Media
List of Accounts
Attempts: of used
b
Prepare a tabular analysis for the adjustments at July on the books of Oriole Company. Include margin explanations for the
changes in revenues and expenses. If a transaction results in a decrease in Assets, Liabilities or Stockholders' Equity, place a negative sign
or parentheses in front of the amount entered for the particular Asset, Liability or Equity item that was reduced.
July
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