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how do i prepare a bank reconciliation with the info given? The following information pertains to Sandhill Corporation 1 2 3. 4 Balance per bank,

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image text in transcribedhow do i prepare a bank reconciliation with the info given?
The following information pertains to Sandhill Corporation 1 2 3. 4 Balance per bank, July 31. $7.185. July bank service charge not yet recorded by Sandhill, $25. Balance per books, July 31, $7,509. Deposits in transit, July 31, $2,321 Electronic collection on account (EFT) from a customer. $1,669 not yet recorded by Sandhill Outstanding cheques, July 31, $753, Returned cheque from the deposit of a collection on account. $360, due to nonsufficient funds. Related bank service charge. $40. The charges will be added to the customer's account. 5. 6 7 SANDHILL CORPORATION Bank Reconciliation $ C $ > $

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