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The bank portion of the bank reconciliation for Eramble Compary at November 30, 2022. Was as follows Less: Outstanding checks The adjurted cash balance per

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The bank portion of the bank reconciliation for Eramble Compary at November 30, 2022. Was as follows Less: Outstanding checks The adjurted cash balance per bank agreed with the cash balance per books at November 30 . The December baak statement showed the following checks and deposits. The cash records per books for December showed the following. The bank statement contained two memoranda: 1. A credit of $2,450 for the collection of an accounts receivable of Bramble Company through an electronic funds transfer. 2. A debit for the printing of additional company checks $94. At December 31 , the cash balance per books was $14,355.20, and the cash balance per the bank statement was $19,628.10. The bank did not make any errors, but Bramble Company made two errors. be 5 5 $ eTextbook and Media List of Accounts Attempts: 0 of 3 used Sybinit

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