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66-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash 06-4 Deney Company bank statement and needger account for cash resum ed below STATEMENT withar

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66-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash 06-4 Deney Company bank statement and needger account for cash resum ed below STATEMENT withar 18.950 Required Heconcile the bank account. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $200. A deposit of $2550 us in transit at the end of June 2. Prepare the journal entry that should be made as a result of the bank reconciation 3. What is the balance in the cash account afer the reconciation entres 4. What is the total amount of cash that should be reported on the balance sheet at June Complete this question by entering your answers in the tabs below Required 2 Required 3 required 4 Reconcile the bank account. A comparison of the checks written with the checks that have deared the bank shows outstanding checks of $2,100. A deposit of $3,550 is in transit at the end of June BENTLEY COMPANY Dank Reconciliation June 30

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