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I need the entries to reflect the bank reconciliation table. Please fill it out! Bank Reconciliation-10 Points Prepare a Bank reconeiliation using the following information

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image text in transcribedI need the entries to reflect the bank reconciliation table. Please fill it out!
Bank Reconciliation-10 Points Prepare a Bank reconeiliation using the following information 1. On November 30, 2016, (prior to any reconciliation adjustments), the company cash account has 2. The bank statement shows an ending balance of: $503 3. The bank charged our account s50 for blank check stock printing fees a balance of $1,000 4 At the end of the month check No. 2248 in the amount of $250, check No. 2262 in the amount of $110, and check No. 2265 in the amount of $42 had not cleared our account. 5. Interest income in the amount of $10 was posted to our account. 6. A New Account Opening incentive of Sso was shown on our statement 7. A deposit of $800 the company made on 11/30/16 was not shown on our statement. ount. A customers check was returned for insufficient funds in the amount of $75 plus a $12 processing fee 9

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