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balance after reconciling the bank statement? For the month of June, Too Suite's ending cash balance in the ledger was $45,609.78 whereas Piggy Bank's statement

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balance after reconciling the bank statement? For the month of June, Too Suite's ending cash balance in the ledger was $45,609.78 whereas Piggy Bank's statement indicated the ending balance was $37,895.13 Piggy Bank collected a notes receivable on behalf of Two Suite for $739.22. It also charged Two Suite $31.04 for bank service charge. Piggy Bank also returned two checks that Two Suite deposited as NSF ($1,841.73 and the other, $2,122.49). Two Suite's bookkeeper wrote a check to a supplier for $918 but incorrectly recorded it for $837. Two Suite deposited checks totaling $6,002.64 after banking hours on the last day of the month. The deposit does not appear on the bank statement. Piggy Bank mistakenly debited Two Suite's account for \$78.47. Lastly, there were four checks outstanding: (check #1107 for $638.45, check #1108 for $103.63, check \#1110 for $719.82 and check \#1117 for $241.60 ) Fill in the blank

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