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What is Cash Reconciliation and Adjustments about?
Sassy Company provided bank reconciliation data for July showing a beginning cash balance of $1 million per books and $1.65 million per bank statement. The bank reconciliation and adjusting entries for July 31 are required. Beehive Company also provided bank reconciliation data for October 31 and November 30 requiring preparation of reconciliations and November 30 adjusting entries. Several other companies also provided cash and bank reconciliation data requiring preparation of reconciliations and related a
- Author
- Sharmin Reula
- Language
- EN