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Data Table From the following, construct a bank reconciliation for Prime Co. as of September 30, 201X. EF: (Click the icon the view the information)
Data Table From the following, construct a bank reconciliation for Prime Co. as of September 30, 201X. EF: (Click the icon the view the information) comprese e Dari TECNICO Start by preparing we vooK poron ore recunoauor anu abel or enter a zero.) e comprese ure reconicum Prime Co. Bank Reconciliation as of September 30, 2018 Checkbook balance Bank balance Checkbook balance $ 1,902 80 Bank balance Add Add Deposits in Transit Checkbook balance Bank statement balance Deposits in transit Outstanding checks Bank service charge NSF check 1,902.80 1.981.50 279.80 433.60 12.70 62.40 $ 1,981.50 279.80 Print Done Deduct Bank Service Charge NSF Check Deduct Outstanding Checks 433.60 12.70 62.40 75.10 $ $ 1,827.70 1.827 70 Reconciled balance econciled balance pose from any list or enter any number in the input fields and then click Check Answer Clear All parts showing
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