P 73 (problem)s Gibson Energy Ltd. controls its cash by depositing receipts on a daily...
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Accounting
P 73 (problem)s Gibson Energy Ltd. controls its cash by depositing receipts on a daily basis and making all disbursements by check. I need to prepare a bank reconciliation at November 30. (20 Prepare the adjusting journal entries required to make the Cash in a bank account in the general ledger agree with the adjusted cash.
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