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Requirements Requirement 1. Prepare the bank reconciliation. There are no bank or book errors. Begin by preparing the bank section of the bank reconciliation. Then

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Requirements Requirement 1. Prepare the bank reconciliation. There are no bank or book errors. Begin by preparing the bank section of the bank reconciliation. Then complete the book section of the bank reconciliation. (Leav Forest Construction Inc. Bank Reconciliation May 31, 2020 BANK: Add Less re are no bank or book errors nciliation. Then complete the book section of the bank reconciliation (Leave unused cells blank. nc. * Requirements - X 1. Prepare the bank reconciliation. There are no bank or book errors. 2. Using the facts provided, identify the information that would be relevant to determining whether or not the bookkeeper has stolen cash from the business. 3. Recommend to Neal any changes needed to prevent this from happening again Print Done e input fields and then click Check Answer Navy Construction Inc has poornal control Recently, Bret Mides, the owner has suspected the bookkeeper of stealing Here are some details of the business's cash position at February 29, 2020 Click on the icon to view abitional information) Requirten 1. Prepare the bank icotion Themen bank or toch een Begin by preparing the section of the bank reconciliation. The complete the book section of the bank reconciliation Leave unused cells blank.) Navy Construction Inc. Bank Recent February 25, 2020 MANK Choose from any stor enter any number in the puttes and then click Check Answer Begin by preparing the bank section of the bank reconciliation. Then complete the book section of the bu Navy Construction Inc. Bank Reconciliation February 29, 2020 BANK: Add Less nk nen Requirements - X 1. Prepare the bank reconciliation. There are no bank or book errors. 2. Using the facts provided, identify the information that would be relevant to determining whether or not the bookkeeper has stolen cash from the business 3. Recommend to Midas any changes needed to prevent this from happening again Print Done on. TI Data Table LeAnn Harrison's chequebook Cheque No. Date Item Cheque Deposit Balance $ 650 $ 12 638 $ 125 763 717 Dec 1: 622 Direct Energy Dividends 13 623 Canadian Tire 14 624 Petro-Canada 18 625 Cash 26 626 St. Mark's Church 28 627 Bent Tree Apartments 31 Paycheque 46 52 fields a 665 595 70 20 575 255 320 1.167 847 Data Table Then Harrison's December bank statement $ 650 125 Balance Add: Deposits Deduct Cheques. No. 622 Amount $ 12 46 623 624 89 625 70 (217) as and Other charges NSF cheque Service charge $ 25 13 (38) 520 Balance "This is the correct amount for cheque number 624

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