At the end of the day, the cash register tape lists $885.69 as total income from services. Cash on..

At the end of the day, the cash register tape lists $885.69 as total income from services. Cash on hand consists of $15.68 in coins, $459.77 in currency, $90.00 in traveler's checks, and $409.74 in customers' checks. The amount of the Change Fund is $100. Required: Record the entry to record the day's cash revenue. If an amount box does not require an entry, leave it blank.   GENERAL JOURNAL PAGE       DATE DESCRIPTION DOC. NO.   POST. REF. DEBIT CREDIT   Cash              Cash Short and Over              Income from Services              To record revenue earned during the day involving a cash shortage of $10.50.    

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