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! Required information [The following information applies to the questions displayed below.] The cash records and bank statement for the month of July for
! Required information [The following information applies to the questions displayed below.] The cash records and bank statement for the month of July for Glover Incorporated are shown below. GLOVER INCORPORATED Cash Account Records July 1, 2018, to July 31, 2018 Cash Balance July 1, 2018 + Deposits Cash Balance Checks = July 31, 2018 $6,910 $8,270 $8,460 $6,720 Deposits Checks Date Desc. Amount Date No. Desc. Amount 7/9 7/21 Sales Sales $ 2,510 7/7 531 Rent $1,450 3,090 7/12 532 7/31 Sales 2,670 7/19 533 Salaries Equipment 1,910 3,000 7/22 534 Utilities 850 7/30 535 Advertising 1,250 $ 8,270 $ 8,460
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