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Read the requirements. Frank Carter Company Bank Reconciliation October 31, 2024 Bank: ADD: LESS Choose from any list or enter any number in the input

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Read the requirements. Frank Carter Company Bank Reconciliation October 31, 2024 Bank: ADD: LESS Choose from any list or enter any number in the input fields and then click Check Ans 6 parts remaini EF8-22 (similar to) Question Home Free Comany operatowe bowling way. The best received the Odober 31, 2024, bank statement from City National Bank and the statement shows an ending balance of $905. Listed or me Swan EFT on 15410, a vice charge of 58 NSF checks toing so, and a $25 charge for printed checks. In reviewing me cash records, the businessed outstanding checks to SATO 5170 During Octobet the business recorded a $900 check by debiting Sales Expense and crediting Cash for $30. The business's Cash account shows in October of $2.17 Ist received the October 31, 2024, bank statement from City National Bai NSF checks totaling $60, and a $25 charge for printed checks. In reviev s recorded a $300 check by debiting Salaries Expense and crediting Cas Requirements 1. Prepare the bank reconciliation at October 31. 2. Journalize any transactions required from the bank reconciliation. Print Dan

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