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0 Saved [The following information applies to the questions displayed below.] Hills Company's June 30 bank statement and the June ledger account for cash are

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0 Saved [The following information applies to the questions displayed below.] Hills Company's June 30 bank statement and the June ledger account for cash are summarized here: BANK STATEMENT Checks Deposits $18,000 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 $19, 100 Other Balance $ 7,200 25,200 6,160 $30 6,070 6,070 June 1 June Balance Deposits Balance Cash (A) 6,800 19,000 19,400 6,400 Checks written June June 30 Required: 1. Prepare a bank reconciliation. A comparison of the checks written with the checks that have cleared the bank show! checks of $700. Some of the checks that cleared in June were written prior to June. No deposits in transit were note deposit is in transit at the end of June. HILLS COMPANY Bank Reconciliation June 30 Company's Books Ending Balance per Cash Account Additions: Bank Statement Ending Balance per Bank Statement Additions: Deductions: Deductions: Up-to-Date Cash Balance Up-to-Date Cash Balance

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