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QUESTION 3 (11 Marks) Ryan Industries reconciled its book balance of Cash with its bank statement balance on June 30 and showed two cheques
QUESTION 3 (11 Marks) Ryan Industries reconciled its book balance of Cash with its bank statement balance on June 30 and showed two cheques outstanding at that time, #1710 for $11,125.10 and #1721 for $755.77. The following information is available for the July 31, 2021 reconciliation:
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