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Hesumie 1 Ritast = hav recosilden 2. domatos the ircmisty eveser Labels For the Month Ended June 30, 20Y1 June 30,20Y1 Amount Descriptions Adjusted balance

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Hesumie 1 Ritast = hav recosilden 2. domatos the ircmisty eveser Labels For the Month Ended June 30, 20Y1 June 30,20Y1 Amount Descriptions Adjusted balance Bank error in charging check as $750 instead of $570 Bank service charges Deposit in transit on June 30 Deposit of June 30 , not recorded by bank Error in recording check Outstanding checks Note collected by bank, including $1,925 interest Total additions Total deductions 1. Prepare a bank reconcilation. 2. Joumaice the necessary ontres. General wotenal instructions Final Question 3. If a balance shoet were prepared for Pala Medical Co on wane 30 . 20yf, what amount should pe reported as Cash

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