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bank reconciliation Help complete a bank reconciliation by dragging and dropping each item under the correct category that should be adjusted. You do not need

bank reconciliation
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Help complete a bank reconciliation by dragging and dropping each item under the correct category that should be adjusted. You do not need to actually identify the new reconciled balance. Balance per Bank: $83,000 Balance per Books: $95,000 :: Checks outstanding last month that cleared the bank this " month $7,000 Direct Deposit not recorded by company $1,350 Error: recorded $1500 check as $1000 on books Outstanding checks $5.196 Bank Service Fees $60 Error: $54 check was clear incorrectly cleared by bank for $540 Deposits in Transit last month that cleared the bank this month $12. 000 Deposits in Transit $17.500

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