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E6-22. Bentley Company's June 30, 2014, bunk tatensent and June ledger accounts for cash are summarizcd below: 1. Reconcile the bank aceount. A comparison of
E6-22. Bentley Company's June 30, 2014, bunk tatensent and June ledger accounts for cash are summarizcd below: 1. Reconcile the bank aceount. A comparison of the checis written with the checks that have cleared the bank shows outsanding checks of $2,400. A deposit of $1,900 is in transit at the end of June. 2. What is the balance in the Cash account after the reconciliation entries? 3. What is the total amount of eash that should be reported on the balance sheet at June 3
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