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Question 5 of 6 1 . 1 9 The bank portion of the bank reconciliation for Oriole Company at November 3 0 , 2 0
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The bank portion of the bank reconciliation for Oriole Company at November was as follows.
Oriole COMPANY
Bank Reconciliation Partial
November
Cash balance per bank
Add: Deposits in transit
Less: Outstanding checks
tableCheck NumberAdjusted cash balance per bank
$
Check Amount
table$
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