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    tinymattie's Avatar
    tinymattie Posts: 1, Reputation: 1
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    #1

    Dec 8, 2008, 10:11 PM
    Bank reconciliation, Accounting
    Receipts from cash sales of $9500 were recorded incorrectly in the cash receipts journal as $5900. This item would be included on the bank reconciliation as a(n)
    stevetcg's Avatar
    stevetcg Posts: 3,693, Reputation: 353
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    #2

    Dec 9, 2008, 06:37 AM

    A homework assignment?
    pready's Avatar
    pready Posts: 3,197, Reputation: 207
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    #3

    Dec 12, 2008, 05:06 PM

    Error. You need to do an adjusting entry

    Debit Cash for 3,600
    Credit Sales Revenue for 3,600

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