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please make an journal entrie from this TE Bank Reconciliation Balance as per Bank, July 31 Add 27856 ol 27856 less:outstanding check ch#007 ch#008 ch#009
please make an journal entrie from this
TE Bank Reconciliation Balance as per Bank, July 31 Add 27856 ol 27856 less:outstanding check ch#007 ch#008 ch#009 300 600 1500 Ajusted bank balance 2400 25456 25500 Balance as per Books, July 31 Add: Interest from bank 15 25515 less: Bank service fee Intuit QuickBooks Ajusted book balance: 25456 Step by Step Solution
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