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Falls Company's bank reconciliation as of February 28 is shown below. One of th...

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Falls Company's bank reconciliation as of February 28 is shown below.

Bank balance$ 38,243Book balance$ 38,723
+ Deposit in transit3,250Note collection+805
- Outstanding checks− 2,030Check printing−65
Adjusted bank balance$ 39,463Adjusted book balance$ 39,463

One of the journal entries that Great Falls Company must record as a result of the bank reconciliation includes:

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