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3. Reconcile the business checking account (# 2) with the bank statement below. Show all your work. The March 31, 2019 bank statement shows a
3. Reconcile the business checking account (# 2) with the bank statement below. Show all your work. The March 31, 2019 bank statement shows a balance of $2785.11. All-Star Sports Stores checkbook balance is on page 2 A, the ending checkbook balance. STATEMENT STATEMENT PERIOD Mar.1-31 2019 Page 1 All-Star Sports Store 1098 Maple Rd. Syracuse, NY 13210 ACCOUNT # 567890 BANK STATEMENT ******************************************************************** Check Checks Deposits Date Balance Number and Debits **************************************************************** Beginning Bal 3/1 4968.68 611 1200.56 3/6 3768.12 612 281.90 3/15 3486.22 613 78.90 3/19 3407.32 589.79 3/23 2817.53 ATM 17.90 2799.63 5.02 SC 3/31 2854.61 19.50 CP 10.00 IC 3/31 2785.11 615 3/30 RC = Returned Check SC = Service Charge IC=Interest Credit ATM = Automated Teller Machine CP= Check Printing Charge What is the adjusted balance after reconciliation
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