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600 3,600 1,100 500 560 The cash account of Bennett Inc at February 28, 2017 follows: Cash Feb. 1 Balance 3,250 Feb. 5 1,200 1,700

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600 3,600 1,100 500 560 The cash account of Bennett Inc at February 28, 2017 follows: Cash Feb. 1 Balance 3,250 Feb. 5 1,200 1,700 1,000 2,200 Feb. 28 Balance 2,990 Bennett Inc.'s bank statement for February 2017 is as follows: Bank Statement for February 2017 Beginning balance Deposits: Feb. 7 $ 1,200 1,700 1,000 $ 3,250 3,900 Cheques Feb. 8 600 3,600 1.100 (5,300) (10) 200 500 Other items: Service charge NSF che que from customer Bank collection of note receivable EFT-monthly rent expense Interest on account balance Ending balance Required: 320 12 1,832 S Prepare the bank reconciliation of Bennett Inc. at February 28, 2017, including the appropriate newing repare the tournam es based on the bank recondition Explanations for your joumarents are not required

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