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Prepare a general bank reconciliation in the following template General Bank Account: Shawna Consulting An examination of the banks statement indicated that the November 23
Prepare a general bank reconciliation in the following template
General Bank Account: Shawna Consulting An examination of the banks statement indicated that the November 23 entry for Chq\#2467 was a cheque issued by another company and withdrawn from Shawna's bank account in error. Bank Statement 24 Somewhere Street Toronto, Ontario M9M 7H5 November 1 to November 30, 20** Prepare a General Bank Reconciliation in the following template Balance Per Books Balance per General Bank Account Ledger Add: Deposits by Bank Not shown in Books Deduct: Bank Charges Bank Errors NSF Cheques Adjusted Balance per Books at November 30, 20**Step by Step Solution
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