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I need answer fir everything Pina Colada Coffee Limited's bankstatement for the month of November 2022 showed a balance per bank of $7,120. The company's

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Pina Colada Coffee Limited's bankstatement for the month of November 2022 showed a balance per bank of $7,120. The company's general ledger Cash account showed a balance of $5,779 at November 30 . Other information is as follows: 1. Cash receipts for November 30 recorded on the company's books were $5,320, but this amount does not appear on the bank statement. 2. The bank statement shows a debit memorandum for $64 for cheque printing charges. 3. Cheque \#119 payable in the amount of $358 to Holt Corporation was recorded in the general journal and cleared the bank for $358. A review of the accounts payable records shows a $27 credit balance in Holt's account and that the total payment should have been for $385. 4. The total amount of cheques outstanding at November 30 was $5,962. 5. Cheque \#138 was correctly written and paid by the bank for $329. The cash payment journal reflects an entry for Cheque \# 138 as a debit to Accounts Payable and a credit to Cash for $392. 6. The bank returned an NSF cheque from a customer for $680. 7. The bank statement included a deposit for $1,380, which represents the electronic collection of customer accounts which have not yet been recorded on the company's books. Prepare a bank reconciliation for Pina Colada Coffee Limited at November 30, 2022. (List items that increase balance first.) Prepare a bank reconciliation for Pina Cutada Coffee Limited at November 30, 2022. (List items that increase balance first.) PINA COLADA COFFEE LIMITED Bank Reconciliation $ 5 eTextbook and Media List of Accounts Prepare any iournal entries necessary as a result of the bank reconciliation. (Credit occount titles are outomaticallyindented when the Prepare any journal entries necessary as a result of the bank reconciliation. (Credit occount titles are outomatically indented when the amount is entered. Do not indent manualif. List all debit entries before credit entries.) (To record collection of accounts receivable) Nov 30 (To record cheque printing charges) Nov 30 (To record NSF cheque)

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