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2 Required Determine the true cash balance by prepanng a bank reconcililation as of June 30, 2018, using the preceding informuation. (OVegative amounts should be

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2 Required Determine the true cash balance by prepanng a bank reconcililation as of June 30, 2018, using the preceding informuation. (OVegative amounts should be indicated with minus sign bank balance Relerences True cash balance 6/30/2018 Unadjusted book balance 6/30/201 True cash balance 630/2018 Ch 4 HW-20 Pts. Help Save&Exit Submt Check my work 2 As of June 30, 2018, the bank statement showed an ending balance of $18,861 The unadjusted Cash account balance was $17,318 The following information is available 1 Deposit in transit, $2,450 2. Credit memo in bank statement for interest eaned in June, $22 3. Outstanding check, $3,983 4. Debit memo for service charge, $12 poines efBlook References n June 30, 2018, using the preceding information (Negetive Determine the true cash balance by preparing a bank reconcilsation as of Determine the amounts should be indiceted with minus sign) Unadjusted bank balance 6/30/2018 True cash balance 6/30/2018 Unadjusted book balance 6/30/2018 Prey 2015 Next > 238

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