Question: 1. Journalize the transactions provided below. 2. Enter the beginning balances to each of the accounts provided below. 3. Post all genral journal transactions to

1. Journalize the transactions provided below.
2. Enter the beginning balances to each of the accounts provided below.
3. Post all genral journal transactions to the repesctive general ledger accounts.
4. Post the AR Subledger.
5. Prepare the Schedule of AR.
6. Post to the AP Subledger
7. Prepare the Scheudle of AP
8. Prepare a Bank Reconciliation

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