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Bank Reconcilsation The following data were gathered to use in reconoling the bank account of Photo Op. Company: Balance per bank $ 17,900 Balance per

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Bank Reconcilsation The following data were gathered to use in reconoling the bank account of Photo Op. Company: Balance per bank $ 17,900 Balance per company records 9,745 Bank service charges 25 Deposit in transit 3,800 Note collected by bank with $160 interest 5,500 Outstanding checks 6,480 a. What is the adjusted balance on the bank reconciliation? 15,220 Fedha Check My Work a Set up two sections one for the company cash account section and the other for the bank balance section. Determine the effect of the data on each section Reca Sections of the reconciliation must be equal if not an item has been overlooked or treated in error b. Journalce any necessary entries for Photo Op. Company based on the bank reconciliation. If an amount box does not require an entry, leave it blas Miscellaneous Expense 25 Cash 25 Cash 5.500 Notes Receivable 5.500X LIL Cash Short and Over X 640 X

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