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P5-2 Bank reconciliation and entries The cash account for Denver Consulting at October 31, 20Y6, indicated a balance of $15,750. The bank statement indicated a

P5-2 Bank reconciliation and entries The cash account for Denver Consulting at October 31, 20Y6, indicated a balance of $15,750. The bank statement indicated a balance of $31,095 on October 31, 20Y6.

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