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Problem 7-4A (Part Level Submission) The bank portion of the bank reconciliation for Oriole Company at October 31, 2017, is shown below. ORIOLE COMPANY Bank

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Problem 7-4A (Part Level Submission) The bank portion of the bank reconciliation for Oriole Company at October 31, 2017, is shown below. ORIOLE COMPANY Bank Reconciliation October 31, 2017 Cash balance per bank $12,507.90 1,530.20 4,038.10 Add: Deposits in transit Less: Outstanding checks Check Number 2451 2470 2471 2472 2474 Adjusted cash balance per bank Check Amount $1,260.40 684.20 844.50 434.55 1,050.00 4,273.65 $9,764.45

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