Accounting Below are several items discovered when you were reconciling the...

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Accounting

Accounting
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Below are several items discovered when you were reconciling the bank statement of the Sharp Company to determine the correct cash balance. 1. NSF check written by Disher Company for $115 2. Deposits in transit $73 3. Bank had inadvertently deducted $95 for a check written by Ship Company 4. Proceeds from a $2,000 note receivable collected by the bank plus $44 interest 5. Sharp's bookkeeper had entered a $75 check in the cash disbursements journal as $57. The check cleared the bank at $75 Make the journal entry(s) required on Sharp's books to adjust the cash account balance to the correct cash balance

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