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WileyPLUS342 G moodle G moodle.selkirk.ca -... Question 2 of 6 View Policies Show Attempt History < > Current Attempt in Progress The bank portion
WileyPLUS342 G moodle G moodle.selkirk.ca -... Question 2 of 6 View Policies Show Attempt History < > Current Attempt in Progress The bank portion of last month's bank reconciliation for Crane Ltd. at February 28 was as follows: CRANE LTD. Bank Reconciliation February 28 Cash balance per bank $18,096 Add: Deposits in transit 3,110 21,206 Less: Outstanding cheques #3451 $1,957 #3470 Reconciled cash balance 2,144 $17,105 to search The reconciled cash balance per bank agreed with the reconciled cash balance per books after the bank reconciliation at Febru 28. The March bank statement showed the following: CRANE LTD. Bank Statement March 31 D W S S 0 47 91 X E $ 96 42 5 6 D R T Y LL & H Amounte Amounts Addad 8 D N PELSC 750 home end insert O back
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