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Don Contagion, Inc.'s bank statement for October 31, 2019 is below: Balance October 1 $ 8,099 Balance October 31 $9,130 Debit memorandums: Credit memorandums: NSF

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Don Contagion, Inc.'s bank statement for October 31, 2019 is below: Balance October 1 $ 8,099 Balance October 31 $9,130 Debit memorandums: Credit memorandums: NSF check $290 EFT collection $3,014 Bank Service Fee $36 1. Outstanding checks at October 31 total $4,260 2. Deposits in transit total $1,875 3. Cash balance per books at October 31 is $4,075 4. A company check recorded in the cash account for $235 dated August 3 cleared the bank correctly on August 7 for $253. This check was payment for an invoice to our cellphone provider. A Prepare a bank reconciliation B. Journalize the entries required by the reconciliation Paragraph - BI E

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