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Bank Feconciliation (Partial) The cash account for Fleming Company contains the following information for Aprit: Cash disbursements during April: The benk statement for Aprli contains

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Bank Feconciliation (Partial) The cash account for Fleming Company contains the following information for Aprit: Cash disbursements during April: The benk statement for Aprli contains the following information: Assuming there were no deposits in transit at May 31 and that all outstanding checks at May 31 cleared during June, do the following: 1. Identify the outstanding checks at April 30 . 2. Prepare the reconciliation of the bank and cash account balances at April 30 . 3. Identify the outstanding checks at March 31 . 4. Prepare the reconciliation of the bank and cash account balances at March 31 . 3. Identify the outstanding checks at March 31 . 4. Prepare the reconciliation of the bank and cash account balances at March 31

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