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Bank Reconciliation a) Prepare a bank reconciliation for Cindy Company for July 31, 2019, from the following information: Bank Balance, July 31, 2019 $118,160 Checkbook

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Bank Reconciliation a) Prepare a bank reconciliation for Cindy Company for July 31, 2019, from the following information: Bank Balance, July 31, 2019 $118,160 Checkbook Balance, July 31, 2019 119.884 Interest revenue 216 Bank service charge 100 Deposits in transit 12.580 Outstanding checks 10,740 BANK Balance, July 31 Add $ $ 119884 Cindy Company Bank Reconciliation July 31, 2019 BOOK 118160 Balance, July 31 Add: 12580 Interest revenue Less 10740 Bank service charge Deposits in transit Outstanding checks Adjusted bank balance Adjusted book balance Record the necessary journal entries from the preceding bank reconciliation Information for july 31, 2019

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