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DATANGCONGO a) Prepare a bank reconciliation for Cindy Company for July 31, 2019, from the follo information: Bank Balance, July 31, 2019 Checkbook Balance, July
DATANGCONGO a) Prepare a bank reconciliation for Cindy Company for July 31, 2019, from the follo information: Bank Balance, July 31, 2019 Checkbook Balance, July 31, 2019 Interest revenue Bank service charge Deposits in transit Outstanding checks $118,160 119,884 216 100 12.580 10,740 BANK Cindy Company Bank Reconciliation July 31, 2019 BOOK 118160 Balance, July 31 Ada: 12580 Interest revenue $ 119884 Balance, July 31 Add: Deposits in transit Outstanding checks 10740 Bank service charge Adjusted bank balance 5 120000 Adjusted book oalance Record the necessary journal entries from the preceding bank reconciliation inform Cash One CH Bank Reconciliatio
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