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Bank reconciliation and cash book
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Cash and Bank reconciliation
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Jones Company had checks outstanding totaling $5,400 on its June bank reconciliation.
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Jones Company had checks outstanding totaling $5,400 on its June bank reconciliation. In July, Jones Company issued checks totaling $38,900. The July bank statement shows that $26,300 in checks cleared the bank in July. A check from one of Jones Company's customers in the amount of $300 was also... View more questions Search
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