BANK RECONCILIATION AND ADJUSTED ENTRIES The bank portion of the bank reconciliation for Pharoah Company...
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BANK RECONCILIATION AND ADJUSTED ENTRIES The bank portion of the bank reconciliation for Pharoah Company At November the cash balance per books was $ and the cash balance per the bank statement was $ The bank did not make any errors but Pharoah Company made two errors.
BANK RECONCILIATION AND ADJUSTED ENTRIES The bank portion of the bank reconciliation for Pharoah Company
At November the cash balance per books was $ and the cash balance per the bank statement was $ The bank did not make any errors but Pharoah Company made two errors.
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