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Hunter Company's checkbook lists the following: (Click the icon to view the checkbook.) The April bank statement shows: (Click the icon to view the
Hunter Company's checkbook lists the following: (Click the icon to view the checkbook.) The April bank statement shows: (Click the icon to view the April bank statement.) Bank: Balance, April 30, 2022 Add: Less: Check No: F. L. Hunter's Bank Reconciliation Bank statement April 30, 2022 Requirement 1. Prepare Hunter's bank reconciliation at April 30, 2022. (Include the balances at April 30 in each of the addition subtotal calculations. If an input field is not used in the table, leave the field empty; do not select a label or enter a zero.) Checkbook Balance S 495 3 Date Check No. Item Check Deposit Balance Add: Deposits 120 4/1 $ 495 Debit Checks: No. Amount 4 622 Two Sisters Catering $ 60 435 622 $ 9 60 Dividends received $ 120 10 555 623 125 13 623 City Tire Co. 125 430 624 85* 14 624 Jiffy Lube 58 372 625 45 18 625 (315) Cash 45 327 26 626 American Diabetes Association 60 267 Other charges: 28 627 NSF check S 40 Riverbend Apartments 140 127 25 Service charge (65) 30 Paycheck 1,220 1,347 S 235 Balance *This is the correct amount for check number 624. Print Done Print Done - X
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