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Accounting

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Problem 7-4A The bank portion of the bank reconciliation for Rintala Company at November 30, 2014, was as follows Rintala Company Bank Reconciliation November 30, 2014 Cash balance per bank Add: Deposits in transit Less: Outstanding checks $14,831.65 2,530.20 17,361.85 Check Number 3451 3470 3471 3472 3474 Check Amount $2,260.40 720.10 844.50 1,426.80 6,309.16 Adjusted cash balance per $11,052.69 bank The adjusted cash balance per bank agreed with the cash balance per books at November 30 The December bank statement showed the following checks and deposits

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