Essay
The following information pertains to the bank reconciliation as of January 31 for Greis Company:
In addition, the reconciliation revealed one error: Check #2146 for $152, written to pay utilities expense, was incorrectly recorded in the books for $125.
Required:Using the above information, determine the unadjusted book balance for cash.
Correct Answer:

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$16,787True cash balance = Unadjusted ba...View Answer
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