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The yellow box is where the answers go if ylu could set it up i tried a few times and i get it wrong. 1.
The yellow box is where the answers go if ylu could set it up i tried a few times and i get it wrong.
1. Prepare a bank reconciliation using a company's bank statement and cash account, Prepare a bank reconciliation for June using the bank statement and T-account above and the information below. Additional information: There were no deposits in transit or outstanding checks at May 31 . Note: Columns C and F must be entered as positive values. In columns B \& E, use cell references to the appropriate items from the list below. List "Deductions" in chronolosical order (earliest item first). Note: Columns C and F must be entered as positive values. In columuss B \& E, ase cell references to Step by Step Solution
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