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Bank Reconciliation Use the following information to prepare a bank reconciliation for Young Company at June 30: 1 Balance per Cash account, June 30. $9,172.54
Bank Reconciliation Use the following information to prepare a bank reconciliation for Young Company at June 30: 1 Balance per Cash account, June 30. $9,172.54 2 Balance per bank statement, June 30. 9,490.33 3 Deposits not reflected on bank statement 942.50 4 Outstanding checks, June 30. 1,638.59 5 Service charge on bank statement not recorded in books. 14.30 6 Error by bank-Yertel Company check charged on Young Company's bank statement. 7 Check for advertising expense incorrectly recorded in books as Note: Do not round answers - enter using two decimal places, when needed. YOUNG COMPANY Bank Reconciliation June 30 Balance from general ledger Add: Add: Check Add: Bank error- Yertal Company check recor charged against Young Company's account Less: Less
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