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Artie Enterprises Inc would like to prepare a bank reconciliation for the month ending April 30, 2024. Artie, however, does not know how to do

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Artie Enterprises Inc would like to prepare a bank reconciliation for the month ending April 30, 2024. Artie, however, does not know how to do that and has asked for your assistance. The following data has been provided: - Cash balance per books, 4/30/2024\$7,675 - Deposits in transit $1,000 - NSF check $420 - Bank Service Charges $30 - Outstanding checks $5,500 - Cash balance per bank, 4/30/2024\$11,725 The correct cash balarice per books / correct cash balance per bank after the reconciliation is completed is: $1,725 57,225 $3,175 $11,275

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