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hk 2 Question 11 of 14 > -/5 E View Policies Sky Company is unable to reconcile the bank balance at January 31. Sky's reconciliation

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Question 11 of 14 > -/5 E View Policies Sky Company is unable to reconcile the bank balance at January 31. Sky's reconciliation is as follows Cash balance per bank $5.300 Add: NSF check 1.570 Less: Bank service charge 35 Adjusted balance per bank $6,835 Cash balance per books $5.705 750 Less: Deposits in transit Add: Outstanding checks Adjusted balance per books 1.950 $6,905 Your Answer Correct Answer Prepare a correct bank reconciliation. (List items that increase cash balance first.) SKY COMPANY Bank Reconciliation SKY COMPANY Bank Reconciliation $ > UTE You've completed ./5 Question 11 of 14 eTextbook and Media List of Accounts Your Answer Correct Answer Journalize the entries required by the reconciliation. Hint: For Bank Service Charge use Miscellaneous Expense. (Credit account titles are automatically indented when amount is entered. Do not indent manually) Debit Credit No. Account Titles and Explanation 1 (To record NSF check.) 2 (To record bank service charge) e Textbook and Media List of Accounts

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