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When journal entries for items in the Ledger Balance of Cash section of the bank reconciliation are made, the additions are: a.credited to the Capital

When journal entries for items in the Ledger Balance of Cash section of the bank reconciliation are made, the additions are:

a.credited to the Capital account.

b.debited to the Cash account.

c.debited to the Capital account.

d.credited to the Cash account.

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