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FORMAT 21 1 No Spac... Heading 1 Heading 2 1 Normal Paragraph Title Subtitle Subtle Em... Emphasis Styles Teng Corporation received a bank statement showing

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FORMAT 21 1 No Spac... Heading 1 Heading 2 1 Normal Paragraph Title Subtitle Subtle Em... Emphasis Styles Teng Corporation received a bank statement showing a balance of $15,700 as of October 31, 2019. The firm's records showed a book balance of $15.262 on October 31. The difference between the two balances was caused by the following items. 1. A debit memorandum for an NSF check from Richard Wolf for $332. 2. Three outstanding checks: Check 7017 for $124. Check 7098 for $55, and Check 7107 for $1.560. 3. A bank service charge of $12. 4. A deposit in transit of $957. Prepare the adjusted bank balance section and the adjusted book balance section of the bank reconciliation statement. Also prepare the necessary journal entry for the year 2019. Complete this question by entering your answers in the tabs below. Bank Rec Stmt General Joumal Prepare the adjusted bank balance section and the adjusted book balance section of the bank reconciliation statement. TENG CORPORATION conciliation Statement Hm TNU Spac... Heading 1 BOL Heading 2 Title Subtitle Subtle Em. Empha Paragraph 3. A bank service charge of $12. 4. A deposit in transit of $957. Styles Prepare the adjusted bank balance section and the adjusted book balance section of the bank reconciliation statement. Also prepare the necessary journal entry for the year 2019. Complete this question by entering your answers in the tabs below. Bank Rec Strnt General Joumal C Prepare the adjusted bank balance section and the adjusted book balance section of the bank reconciliation statement. TENG CORPORATION Bank Reconciliation Statement October 31, 2019 Balance on bank statoment Additions Deposit in transit 0 Total Deductions 0 Total outstanding checks Adjusted bank balance $ 0 # # 21 A cpd] 1 No Spac... Heading 1 Heading 2 1 Normal Title Subtitle Subtle Em Em Paragraph Styles C October 31, 2018 Balance on bank statement Additions Deposit in transit 0 Total Deductions Total outstanding checks Adjusted bank balance $ 0 Balance in books Deductions 0 $ 0 Adjusted book balance General Journal > Balance in books Deductions: 0 Adjusted book balance $ 0 Genert Journal > Needs help for: Deposit in Transit, Total Deductions, Total outstanding checks, adjusted bank balance

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