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While completing a bank reconciliation, you discover that your month-end bank statement includes one of your cheques written by your company BUT the cheque amount

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While completing a bank reconciliation, you discover that your month-end bank statement includes one of your cheques written by your company BUT the cheque amount does not match the amount written in either the joumal or the ledger for this account. You: A. Adjust the books side of the bank reconciliation B. Investigate what happened before doing anything to the bank reconciliation C. Contact the bank and have them fix this at their end D. Cancel the cheque

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