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E 7 . 8 ( LO 3 ) ( Prepare bank reconciliation and journal entries. ) The following information is for Neopolitan Ltd . in
ELO Prepare bank reconciliation and journal entries. The following information is for Neopolitan Ltd in July: Cash balance per bank, July $Cash balance per books, July $Bank service charge, $Deposits in transit, $Electronic receipts from customers in payment of their accounts, $ not previously recorded by the company Outstanding cheques, $EFT payment of $ for utilities, not previously recorded by the companyCheque # was correctly written in the amount of $ but was incorrectly recorded by the companys bookkeeper as $ The cheque was written to buy supplies.InstructionsPrepare the bank reconciliation at July Prepare any journal entries required from the reconciliation.
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