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plz give complete answer 02) Hussain Company is unable to reconcile the bank balance at January 31. Hussain's reconciliation is as follows. $5.300 1,490 25
plz give complete answer
02) Hussain Company is unable to reconcile the bank balance at January 31. Hussain's reconciliation is as follows. $5.300 1,490 25 $6.765 Cash balance per bank Add: NSF check Less: Bank service charge Adjusted balance per bank Cash balance per books Less: Deposits in transit Add: Outstanding checks Adjusted balance per books $5,905 950 1.860 $6.815 Instructions (a) Prepare a correct bank reconciliation (4 marks) (b) Journalize the entries required by the reconciliation (2 marks)Step by Step Solution
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