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While preparing the bank reconciliation for March, the accountant for ABC Company discovered that a $694 check in peyment of an account payable hed been

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While preparing the bank reconciliation for March, the accountant for ABC Company discovered that a $694 check in peyment of an account payable hed been entered incorrectly in the journal as $649 which of the olowing is ruet O No entry is needed for the reconciling tem because it appears on the bank's side of the reconcietion O An entry must be made to debit Cash and credit Accounts Payible for $45 O An adjunting entry must be made to debit Accounts Payable and crede Cash for $45 O The bank should be notfied, and the bank should conrect its necords by adding $45 to the company's account

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