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Cheyenne Corp. has just received its August 3 1 , 2 0 2 3 bank statement, which is summarized as follows: The general ledger Cash

Cheyenne Corp. has just received its August 31,2023 bank statement, which is summarized as follows:
The general ledger Cash account contained the following entries for the month of August:
Deposits in transit at August 31 are $4,800, and cheques outstanding at August 31 total $1,750. Cash currently on hand at August 31
is $290, and there were postdated cheques from customers (for September 1) in the amount of $530. The bookkeeper improperly
entered one cheque in the books at $126.50. The cheque was actually written for $162.50 for supplies and cleared the bank during
the month of August.
(a)
Prepare a bank reconciliation dated August 31,2023, proceeding to a correct balance. (List items that increase balance as per bank &
books first.)
Cheyenne Corp.
Bank Reconciliation, August 31,2023
Provincial Bank of Manitoba
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