Essay
The following information pertains to the bank reconciliation of January 31, 2013 for the Gashi Company: In addition, the reconciliation revealed one error: Check #2146 for $76, written to pay utilities expense, was incorrectly recorded in the books for $67.
Required:
Using the above information, compute the unadjusted book balance for cash.
Correct Answer:

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$8,389*
$9,450 unadjusted bank balance +...View Answer
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Correct Answer:
Verified
$9,450 unadjusted bank balance +...
View Answer
Unlock this answer now
Get Access to more Verified Answers free of charge
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