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Complete the June 3 0 bank reconciliation for Nasiri, Inc. using the following information and prepare the adjusting journal entries: * Answers should have commas

Complete the June 30 bank reconciliation for Nasiri, Inc. using the following information and
prepare the adjusting journal entries:
*Answers should have commas with no dollar signs.
Ex: 100,000
*Negative answers should have parenthesis
Ex: (100,000)
*Words should be written with the first letter capitalized
Ex: Gain On Disposal
Outstanding checks:
No.181$450
No.184$500
No.185$225
Deposit in transit $1,250
Interest earned for June $10
NSF check of I.M. Broke $340
Check No.142(for Repair Expense) was written for $430 but recorded on books as $330
Difference $100
Bank service charge $25
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