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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 $175,034 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 $175,034 Checkbook Balance, July 31, 2019 180,000 Interest revenue 44 Bank service charge Deposits in transit 15,000 Outstanding checks 10,000 10 Cindy Company Bank Reconciliation July 31, 2019 BOOK Balance, July 31 Add: BANK Balance, July 31 Add: 5 Less: Less Adjusted bank balance $ Bank service charge Cash Deposits in transit Interest expense Interest revenue Miscellaneous expense Outstanding checks Record the necessary journal entre k reconciliation information for July 31, 2019 W31 e 7/31

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