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P 7 . 1 2 B ( LO 4 ) AP In the November 3 0 , 2 0 2 4 , bank reconciliation at
PB LO AP In the November bank reconciliation at Kiran's Kayaks, there were two outstanding cheques: # for $ and # for $ There was a $ deposit in transit as at November The bank balance at November was $; the adjusted cash balance was $ The December bank statement had the following selected information:
tableCheques ClearedDateCheque NoAmountDec$
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