After performing a bank reconciliation, we need to journalize a. All items on the Bank side of

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After performing a bank reconciliation, we need to journalize

a. All items on the Bank side of the reconciliation

b. All items on the Book side of the reconciliation

c. All items on the reconciliation

d. No items from the reconciliation because the cash transactions need no adjustments.

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Accounting

ISBN: 9780132439602

7th Edition

Authors: Charles T. Horngren, Walter T. Harrison

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