accounting

profileJOHNJACK00

Describe, in one or two paragraphs (using your own words!), the reasons for doing bank reconciliation. Include an explanation of why the cash balance reported by the bank on a particular day will likely not be the same as the cash balance reported by a company or individual as of that same day.

Be sure to read your classmates’ responses and make insightful responses to at least two of their posts 

  • 3 years ago
  • 8
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