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15 Points) The following information is available for Spread-It Corp. business with customers. Note: Please pay attention to what numbers you will use for the

15 Points) The following information is available for Spread-It Corp. business with customers. Note: Please pay attention to what numbers you will use for the Deginning balance of your bank reconciliation. General Ledger cash account: January Bank Statement: Balance, January 1 $ 0 Balance, January 1 $9,800 Cash collected $52,000 Deposits Checks processed/cleared $51,600 $43,400 Checks written $47,000 NSF checks $ 750 Balance, January 31 $14,800 Interest Received $ 340 Balance, January 31 $17,590 repare the bank reconciliation for the month of January for Spread-It Corp: repare the journal entry to adjust cash at the end of January

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