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4 5 a 7 b 8 9 d 10 e 11 f 12 bo g 13 14 15 16 Using the following information, prepare a
4 5 a 7 b 8 9 d 10 e 11 f 12 bo g 13 14 15 16 Using the following information, prepare a bank reconciliation for Abell Co for May 31, 2011 The bank statement balance is $ 2,497. The cash account balance is $ 2,580. Outstanding checks amunted to $ 703. Deposits in transit are $ 732. The bank service charge is $ 25. Interest added to the checking account by the bank is $7. A check drawn for $ 59 was incorrectly charged by the bank as $95. 17 Abell co Bank Reconciliation For Month of May 2011
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