A140/ACG1022 Section 14 Financial Accounting I - Winter 2013 Module 10

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Module 10 Accounting Assignment - The Bank Reconciliation

 

Review the transactions and financial position of Gooseberry Inc. for May 31 in the Excel Template.

Requirements:

  1. Prepare the bank reconciliation.
  2. Prepare the journal entries.

Submit your completed assignment to the drop box below. Please check the Course Calendar for specific due dates.

  • 13 years ago
module 10
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