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2. Nicole has asked you to prepare a bank reconciliation for NGS. According to her records, NGS's cash balance is $7,200 at December 31 ,

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2. Nicole has asked you to prepare a bank reconciliation for NGS. According to her records, NGS's cash balance is $7,200 at December 31 , but the bank reports a balance of $6,700. a. The bank deducted $390 for an NSF check from a customer deposited on December 22 b. NGS has written checks totaling $4,700 that have not yet cleared the bank. c. The bank added $70 cash to the account for interest earned in December. d. NGS made a $4.540 deposit on December 31 , which will be recorded by the bank in January. e. The bank deducted $70 for service charges. f. NGS wrote a check to a supplier on account for $300 but mistakenly recorded it as $30

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