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Please explain each step and follow the format of the pictures. I don't really understand what to do, as I find all the information too
Please explain each step and follow the format of the pictures. I don't really understand what to do, as I find all the information too overwhelming.
QUESTION 3 Partia y corretMark2500 utof 52.00 Fug questien Bank Reconciliation The bank reconciliation made by Sandler Company, a sole proprietorship, on March 31 showed: Deposit in transit of Outstanding checks 51.300 o.797 S550 o.8045690 512,020 The reconciled cash balance on March 31 was The following bank statement is available for April 2015Step by Step Solution
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