Exercise_6-1 - Add Bank Service Charge Deposit in Transit...

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Exercise 6-1 Name: Section: Date: LANG CO. BANK RECONCILIATION AS OF JULY 31, 200X CHECKBOOK BALANCE BALANCE PER BANK Ending Checkbook Balance Ending Bank Statement Balance Deduct:
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Unformatted text preview: Add: Bank Service Charge Deposit in Transit Deduct: Outstanding Checks Reconciled Balance Reconciled Balance Journal Entry: Date Accounts Debit Credit...
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This note was uploaded on 02/10/2011 for the course ACCOUNTING 101 taught by Professor B.j. during the Summer '07 term at Edmonds Community College.

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