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Prepare a bank reconciliation statement on November 30. prepare the necessary journal entries after the preparation of the bank reconciliation. Bank Reconciliation On November 30,

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Prepare a bank reconciliation statement on November 30.

prepare the necessary journal entries after the preparation of the bank reconciliation.

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Bank Reconciliation On November 30, Brown Sugar Pic has the below information related to cheques and cash: 1. The bank balance as per the accounting records of the company amounts to $42.500 and the bank balance as per the bank statement amounts to $37,758, 2. Collected cash of $6,244 on November 30 will be transferred to the Bank on December 1. 3. In the Bank Statement there is a credit of $167 showed as interest earned for November, 4, There are two Outstanding Cheques NO 921 of amount $964 and NO 925 of amount $1,085

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