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Tableau DA 6-3: Mini-Case, Entries from a bank reconciliation LO P3 [similar to EX 6-11, 6-13] The accounting department prepares a bank reconciliation at

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Tableau DA 6-3: Mini-Case, Entries from a bank reconciliation LO P3 [similar to EX 6-11, 6-13] The accounting department prepares a bank reconciliation at the end of each month. The following Tableau Dashboard is provided to assist in our reconciliation for the month of November. $20,000 $15,000 $10,000 $5,000 Bank Statement Balance $0 October 31 November 15 November 30

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