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The bank reconciliation for Bogalusa Company at October 3 1 , 2 0 2 5 , is shown below. _ _ _ _ _ _

The bank reconciliation for Bogalusa Company at October 31,2025, is shown below.
______________________________________________________________________________
Bogalusa Company
Bank Reconciliation
October 31,2025
______________________________________________________________________________
Cash balance per bank: $12,367.90
Add: Deposits in transit: $ 1,530.20
$13,898.10
Less: Outstanding checks:
Check Number Check Amount
2451 $1,260.40
2470 $684.20
2471 $844.50
2472 $426.80
2474 $1,050.00 $4,265.90
________
Adjusted cash balance per bank $9,632.20
________
Cash balance per books $9,632.20
The adjusted cash balance per bank $9,632.20) agreed with the cash balance per books
($9,632.20) at October 31,2025.

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