Question 5 of 6 1.19 The bank portion of the bank reconciliation for...

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Accounting

Question 5 of 6
1.19
The bank portion of the bank reconciliation for Oriole Company at November 30,2022, was as follows.
Oriole COMPANY
Bank Reconciliation (Partial)
November 30,2022
Cash balance per bank
Add: Deposits in transit
Less: Outstanding checks
\table[[Check Number],[3451],[3470],[3471],[3472],[3474],[Adjusted cash balance per bank]]
$14,767.90
2,530.20
17,298.10
Check Amount
\table[[$2,261.20,],[721.20,],[845.20,],[1,427.20,],[1,052.20,6,307.00

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