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1 A Business had the following information. 5 Cash Balance Per Bank$16,422 5 Cash Balance Per the Books $17,404 7 Account Receivable Collection by the

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1 A Business had the following information. 5 Cash Balance Per Bank$16,422 5 Cash Balance Per the Books $17,404 7 Account Receivable Collection by the Bank $2,530 3 NSF Check written by a customer $425 Deposits in Transit: $5,450 Outstanding Checks $2,383 1 Bank Fee $65 Interest Earned $45 3 4 Prepare a full Bank Reconciliation and complete the journal entries required. 5 6 7 Bank Part 3 9 1 2 3 4 5 6 7 Book Part antil ther Items Frror and Bank Jou

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