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3. 25.00 points velue Bentley Company's June 30 bank statement and June ledger accounts for cash are summarized below BANK STATEMENT Checks Balance, June 1

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3. 25.00 points velue Bentley Company's June 30 bank statement and June ledger accounts for cash are summarized below BANK STATEMENT Checks Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Balance $ 6,950 22,250 5,350 5,322 5,322 $15,300 $16,900 28 Cash June 1 Balance June Deposits 19,400 18,850 Required: 1. Reconcile the bank account. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of end of June. BENTLEY COMPANY Bank Reconciliation, June 30 Company's Books Bank Statement Additions Additions

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