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EA 1 0 . 8 . 6 Prepare the journal entry to reconcile the bank statement in EA 9 . I need the above question

EA10.8.6 Prepare the journal entry to reconcile the bank statement in EA9.
I need the above question a answered which is based of the information below.
EA9.8.6 Using the following information, prepare a bank reconciliation.
Bank balance: $4,587
Book balance: $5,577
Deposits in transit: $1,546
Outstanding checks: $956
Interest income: $56
NSF check: $456

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