Question: 3. Make the entry on cober t explanation. P7-33B Preparing a bank reconciliation and journal entries The May cash records of Donald Insurance follow: Cash

 3. Make the entry on cober t explanation. P7-33B Preparing a
bank reconciliation and journal entries The May cash records of Donald Insurance

3. Make the entry on cober t explanation. P7-33B Preparing a bank reconciliation and journal entries The May cash records of Donald Insurance follow: Cash Receipts Cash Payments Date Cash Debit Check No. Cash Credit May 4 $ 4,230 520 530 1,950 1,840 1416 1417 1418 1419 1420 1421 1422 $ 890 120 14 17 31 630 1,090 1,420 900 670

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