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prepare any adjusting entries necessary as a result of the bankreconciliation The Cullumber Boat Company's bank statement for the month of November showed a balance
prepare any adjusting entries necessary as a result of the bankreconciliation The Cullumber Boat Company's bank statement for the month of November showed a balance per bank of \( \$ 8,300 \). The company's Cash account in the general ledger had a balance of \( \$ 6,036 \) at N 2 answers
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