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What do I debit? D Chapter 5 HW C Not secure l ezte.mhed 0.55 points M5-9 Preparing Journal Entries after a Bank Reconciliation [LO 5-4

What do I debit?
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D Chapter 5 HW C Not secure l ezte.mhed 0.55 points M5-9 Preparing Journal Entries after a Bank Reconciliation [LO 5-4 For the following transactions, propare journal entries needed to adjust the company's books (Il no entry is required for a transactionievent, select "No Journal Entry Required" in the first account field.) a Outstanding checks of $12,000 b Bank service charge of $15 c Deposit in transit of $2,300 d Interest earned of $5 View transaction list Journal entry worksheet Record the service charges of $15 deducted by the bank. Note: Enter debits before cred ts Transaction General Journal Debit Credit Other Current Liabilities 15 Cash 15 Record entry Clear entry View general journal

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