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Fill out all blanks with appropriate account names and values. Kindly check your eyes and answer the question as everything is provided. 4-19A (similar to)

Fill out all blanks with appropriate account names and values. Kindly check your eyes and answer the question as everything is provided.image text in transcribed

4-19A (similar to) E Question Help i Hunter Company's checkbook lists the following 1. Prepare Hunter's bank reconciliation at July 31, 2019. (Include the belances at July 31 in each of the addition subtotal calculations. If a box is not used in the table, leave the box empty; do not select a lebel or enter a zero.) Click the loon to viaw the checkboak.) Tha July bank statamant shows: Click the icon to viaw the July bank stalement.) Checkbook F. L. Hunters Bank Reconciliation July 31, 2019 Bank statement Check Deposil Balance $ 530 145 Date Check No Add: Doposits Dabit Chacks No S530 Two Sistars Calering Dividdeens recesivec S 145 635 40 13 623 City Tire Co. 110 110 Check No: Jifty Lube 68 18 434 35 250) Amarican Diababas Association 75 350 Other chargos Riverbend Aparlments NSF checik 31 1,220 1 424 Service charge $ 375 Print Done This is the correct amount for check number 624 Print Done

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