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Blue Company is unable to reconcile the bank balance atJanuary 3 1 . Blue's reconciliation is as follows.bankcheckchargebankbookstransitchecksbooksCash balance perAdd: NSFLess: Bank serviceAdjusted balance perCash
Blue Company is unable to reconcile the bank balance atJanuary Blue's reconciliation is as follows.bankcheckchargebankbookstransitchecksbooksCash balance perAdd: NSFLess: Bank serviceAdjusted balance perCash balance perLess: Deposits inAdd: OutstandingAdjusted balance perInstructions$$Prepare a correct bank reconciliation$$
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