Of XYZ Co. below. - MGMT-026

The bank reconciliation of XYZ Co. is provided below.

Demonstrate the entries needed to update the cash

account in the general Jedger by selecting the correct

answers belo\v

XYZCo.

Bank Reconciliation

Nov30,2016

Bank statement balance $2.01< Book Balance

$2.200

Add: Denn.cit in transit 600 Add: Note Receivabfe collected "" ben 100

Less: Ou~ndin~ eh~?? 370 Less: Benk service chall!es

60

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