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a) Prepare the July 2010 bank reconcillation statement for World's cormputer inc. using the following information - Cash balance per general ledger is $2,219 -

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a) Prepare the July 2010 bank reconcillation statement for World's cormputer inc. using the following information - Cash balance per general ledger is $2,219 - Bank statement balance is $2.478.80 These cheques were recorded in the ledger but did not appear on the bank statement. They are: Cheque #186 for $100; Cheque $193 for $57 : Cheque $199 for $143. - A deposit for $368 dated July 31 was recorded in the ledger but did not appear on 4. the bank statement - Service charges of $18 are shown on the bank statement - A cheque for $37.50 has been cashed (correctly) by the bank but was incorrectly recorded in the company's ledger as $375.50. The cheque was issued for the - purchase of office supplies. - The bank automatically deposited interest of $7.80 at the end of the month. b) In a general journal, record any entries required to bring the company records up to clate

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