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accepong submissions until Tuesday, April 7, 2020 at 6:15 pm Show instructions Question 4 of 34 | Page 4 of 34 Question 4 (10 points)

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accepong submissions until Tuesday, April 7, 2020 at 6:15 pm Show instructions Question 4 of 34 | Page 4 of 34 Question 4 (10 points) The following information is available to Tingale Company to prepare its bank reconciliation at the end of March, 2017 1. The company recorded a 55,468 cheque in payment of an account payable incorrectly as $4,586. 2. The bank charged the company 545 for monthly standard service charges 3. A review of cashed cheques returned with the bank statement indicated that cheques amounting to$3,431 had not been cashed by March 31. 4. March 31 general ledger Cash account balance is $11.846. 5. The credit memo enclosed with the bank statement showed that the bank collected a 54.250 note plus interest of S125 on behalf of the company 6. The debit memo included with the bank statement listed anon-sufficient funds (NSF) cheque for $1,758 plus a $25 NSF bank charge as a result of a nonpayment from its customer, Ferrow and Bell 7. The bank charged the company 537 for printing new cheques during the month. 8. March 31 cash balance on the bank statement is $16,169. 9. The bank recorded a deposit of $7600 incorrectly as a deposit of 56700 Prepare the bank reconciliation for tingale Company at March 31, 2017 Tingale Company Bank Reconciliation March 31, 2017 Time left for this

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