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Adjusted balance a. Identify the errors in the following bank reconciliation: Item Heading Outstanding checks Deposit of June 30 Service charges Error in June

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Adjusted balance a. Identify the errors in the following bank reconciliation: Item Heading Outstanding checks Deposit of June 30 Service charges Error in June 17 deposit Adjusted balance per the bank b. Prepare a corrected bank reconciliation. Correct $10,760 b. Prepare a corrected bank reconciliation. Poway Co. Bank Reconciliation June 30, 20Y7 Line Item Description Cash balance according to bank statement Total deductions Adjusted balance Cash balance according to company's records Total additions Total deductions Adjusted balance $ Amount Amount

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