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ASAP please Question 23 of 24 - / 15 !!! rd View Policies Current Attempt in Progress Using the following information, prepare a bank reconciliation
ASAP please
Question 23 of 24 - / 15 !!! rd View Policies Current Attempt in Progress Using the following information, prepare a bank reconciliation for Cullumber Company for July 31, 2022. The bank statement balance is $3,720. The cash account balance is $4,190. Outstanding checks totaled $1.290. Deposits in transit are $1,670. The bank service charge is $63. A check for $96 for supplies was recorded as $69 in the ledger. b. C. d. e. th Cullumber Company Bank Reconciliation July 31, 2022 Cash Balance Per Bank 3,720 Add V: Deposit in Transit 1.670 earch O 1 0 & Question 23 of 24 - 715 !!! uy UE Cash Balance Per Bank 3,720 Add VE Deposit in Transit 1,670 Less V: Outstanding Checks 4,190 Adjusted Cash Balance Per Bank Cash Balance Per Books 4.190 Less Adjusted Cash Balance Per Bank $ Check for Supplies Error Adjusted Cash Balance Per Books D O search 11 e O & 3 Step by Step Solution
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