Business
Business, 15.07.2019 00:30, zdejesus4994

During the month of july, clanton industries issued a check in the amount of $845 to a supplier on account. the check did not clear the bank during july. in preparing the july 31 bank reconciliation, the company should:

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During the month of july, clanton industries issued a check in the amount of $845 to a supplier on a...

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