During the month of July, Clanton Industries issued a check in the amount of $912...

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Accounting

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During the month of July, Clanton Industries issued a check in the amount of $912 to a supplier on account. The check did not clear the bank during July. In preparing the July 31 bank reconciliation, the company should: Multiple Choice Add the check omount to the book baionce of cosh Deduct the check omount from the bank balance. Add the check amount to the bank balance. Deduct the check amount from the book balance of cash Make o joumal entry in the company records for an error

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