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Required information E 5 - 6 Preparing a Bank Reconciliation and Journal Entries and Reporting Cash [ LO 5 - 4 ] [ The following
Required information E Preparing a Bank Reconciliation and Journal Entries and Reporting Cash LO The following information applies to the questions displayed below. The September bank statement for Cadieux Company and the September ledger account for cash are summarized here:No outstanding checks and no deposits in transit were noted in August. However, there are deposits in transit and checks outstanding at the end of September. The NSF check and EFT involved transactions with Cadieux Company's customers. E Part rn Sep Balance No outstanding checks and no deposits in transit were noted in August. However, there are deposits in transit and checks outstanding at the end of September. The NSF check and EFT involved transactions with Cadieux Company's customers E Part Required: Prepare a bank reconciliation.
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