P7.12B (LO 4) AP In the November 30,2024, bank reconciliation at Kiran's Kayaks,...

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Accounting

P7.12B (LO 4) AP In the November 30,2024, bank reconciliation at Kiran's Kayaks, there were two outstanding cheques: #165 for $812 and #169 for $529. There was a $1,128 deposit in transit as at November 30,2024. The bank balance at November 30 was $7,181; the adjusted cash balance was $6,968. The December bank statement had the following selected information:
\table[[Cheques Cleared],[Date,Cheque No.,Amount],[Dec.1,169,$529
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