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QUESTION

The bank portion of the bank reconciliation for Sheridan Company at October 31, 2017, is shown below. SHERIDAN COMPANY Bank Reconciliation October...

How do I find the remaining outstanding checks? How do I find the other entries? How do I find the adjusted cash balance per books?

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The bank portion of the bank reconciliation for Sheridan Company at October 31, 2017, is shown below. SHERIDAN COMPANY Bank ReconciliationOctober 31, 2017 Cash balance per bank $12,637.90Add: Deposits in transit 1,530-2014,168.10Less: Outstanding checks Check Number Check Amount 2451 $ 1,260.40 2470 684.20 2471 844.50 2472 429.302474 1,050.00 4,258.40Adjusted cash balance per bank ”(899-70 The adjusted cash balance per bank agreed with the cash balance per books at October 31. The November bank statement showed the following checks and deposits. Checks Deposits
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