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Prepare a bank reconciliation schedule at August 31, 2019, in proper form. Hula Corp. Bank Reconciliation August 31, 2019 Cash balance from bank statement $
Prepare a bank reconciliation schedule at August 31, 2019, in proper form. Hula Corp. Bank Reconciliation August 31, 2019 Cash balance from bank statement $ 64,900 Add: Less: Adjusted cash balance Cash balance from company records Add: $ 53,453 Less: Adjusted cash balance
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