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15) Using the following, prepare a bank reconciliation for Samtani Co. for August 31, 2018: a) The bank statement balance is $4,010 b) The cash
15) Using the following, prepare a bank reconciliation for Samtani Co. for August 31, 2018: a) The bank statement balance is $4,010 b) The cash account balance is $4,207 c) Outstanding checks amounted to $517 d) Deposits in transit are $633 e) The bank service charge is $45 f) A check for $84 for supplies was recorded as $48 in the ledger (an error in recording)
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