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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 is shown below.
Bogalusa Company
Bank Reconciliation
October
Cash balance per bank: $
Add: Deposits in transit: $
$
Less: Outstanding checks:
Check Number Check Amount
$
$
$
$
$ $
Adjusted cash balance per bank $
Cash balance per books $
The adjusted cash balance per bank $ agreed with the cash balance per books
$ at October
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