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Bank Reconciliation SE 9 . Prepare a bank reconciliation from the following information: a . Balance per bank statement as of June 3 0 ,

Bank Reconciliation
SE9. Prepare a bank reconciliation from the following information:
a. Balance per bank statement as of June 30,$4,862.77
b. Balance per books as of June 30, $2,479.48
c. Deposits in transit, $654.24
d. Outstanding checks, $3,028.89
c. Interest on average balance, $8.64
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