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Preparing Bank Reconciliation and Recording Adjustments 2_ Pre;sreJournaI er,tr1eE to book balance of cash to the reconc[led balance. (If no entw Is requlred for a

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Preparing Bank Reconciliation and Recording Adjustments

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2_ Pre;sreJournaI er,tr1eE to book balance of cash to the reconc[led balance. (If no entw Is requlred for a transacton,'event. select "No Journal entry required" In the first account field.) Journal entry worksheet the to the S.ept-nb.- 30 "pcsit, if requires. seno 10 u m'

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