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From the following information, construct a bank reconciliation for P.J. Co. as of July 31, 201X: View the information (1) Complete the bank reconciliation for

From the following information, construct a bank reconciliation for P.J. Co. as of July 31, 201X: View the information (1) Complete the bank reconciliation for P.J. Co. Start by preparing the book portion of the reconciliation and then complete the reconciliation by completing the bank portion. (If an input field is not used in the table, leave the field empty, do not sele P.J. Co. Bank Reconciliation as of July 31, 201X Bank balance Checkbook balance Add. Deduct: Reconciled balance.

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Information Checkbook balance Bank statement balance. Deposits (in transit) Outstanding checks $2,120 1,600 Add: Print Deduct: Reconciled balance 500 70 Bank service charge 25 NSF check 65 (Ralph Gullo's check in payment of an account was returned for insufficient funds.). COL Done

From the following information, construct a bank reconciliation for P.J. Co. as of July 31,201X : View the information. (1) Complete the bank reconciliation for P.J. Co. Start by preparing the book portion of the reconciliation and then complete the reconciliation by completing the bank portion. (If an input field is not used in the table, leave the field empty; do not select a label or enter a zero.)

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