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0.83 Problem 5-176 LO 5-4 You have recelved the bank statement for your company's account and need to reconcile it with your general ledger cash

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0.83 Problem 5-176 LO 5-4 You have recelved the bank statement for your company's account and need to reconcile it with your general ledger cash account. Your records show an ending balance for the month of $12,662.40 while the bank's records show an ending balance of $12,366.36. The bank charged $8.40 in service fees and paid $26.65 in interest All but three checks written during the month were processed by the bank without incident during the month. The three exceptions were (1) Check #841 was correctly processed by the bank as S841 27 but was mistakenly recorded by you as $741.27 (2) Check #853 for $71.57 had not yet been processed by the bank (3) Check #855 for $643 46 had not yet been processed by the bank. All but two of the deposits made during the month were processed by the bank without incident. The two exceptions were (1)A customer check for $307 95, which had been deposited during the month, was returned NSF (2)A deposit totaling $621.37 had not yet been processed by the bank Required places.) aiorovided above, prepar a bank recondliation Round your answers to 2 decimal Bank Reconciliation Updates to Bank Statement Updates to Company's Books Ending Cash Balance per Bank Statement Additions: Ending Cash Balance per Books Additions Deductions: Deductions: Up-to-date ending cash balance Up-to-date ending cash balance

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