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The bank portion of the bank reconciliation for Blossom Companyat October 31, 2021 was as follows: BLOSSOM COMPANY Bank Reconciliation October 31, 2021 Cash balance
The bank portion of the bank reconciliation for Blossom Companyat October 31, 2021 was as follows: BLOSSOM COMPANY Bank Reconciliation October 31, 2021 Cash balance berbank AddDeposits in transit $11.084 1510 12594 Less Outstanding cheques 92470 51.100 860 790 455 1020 Adjusted cash balance per bank 4.525 58.069 Theated cash balance perbankared with the chance de books at October 31 The November bank statements The bank portion of the bank reconciliation for Blossom Companyat October 31, 2021 was as follows: BLOSSOM COMPANY Bank Reconciliation October 31, 2021 Cash balance berbank AddDeposits in transit $11.084 1510 12594 Less Outstanding cheques 92470 51.100 860 790 455 1020 Adjusted cash balance per bank 4.525 58.069 Theated cash balance perbankared with the chance de books at October 31 The November bank statements
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