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Saved Great Falls Company's bank reconciliation as of February 28 is shown below. Bank balance + Deposit in transit Outstanding checks Adjusted bank balance $

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Saved Great Falls Company's bank reconciliation as of February 28 is shown below. Bank balance + Deposit in transit Outstanding checks Adjusted bank balance $ 37,643 2,950 -1,730 $ 38,863 Book balance Note collection Check printing Adjusted book balance $ 38,153 +745 -35 $ 38,863 5 00:49:48 One of the adjusting journal entries that Great Falls must record as a result of the bank reconciliation includes

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