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Bank reconciliation information for Kaden Co. for May 31 is as follows: 1. The bank statement balance is $2,936. 2. The cash account balance

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Bank reconciliation information for Kaden Co. for May 31 is as follows: 1. The bank statement balance is $2,936. 2. The cash account balance is $3,194. 3. Outstanding checks amounted to $465. 4. Deposits in transit are $655. 5. The bank service charge is $50. 6. A check for $97 for supplies was reprded as $79 in the ledger. Journalize any necessary entry related to the reconciliation data. If an amount box does not require an entry, leave it blank. Miscellaneous Expense Accounts Payable Cash 50 18 68

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