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Insert Format Help B C A.J. Mauer Bank Reconciliation April 30, 20XX e, April 30 Deposit in transit Outstanding checks k No Adjusted Bank Balance

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Insert Format Help B C A.J. Mauer Bank Reconciliation April 30, 20XX e, April 30 Deposit in transit Outstanding checks k No Adjusted Bank Balance KS: ance, April 30 ustments Adjusted Book Balance $0 Hunter's Checkbook Date 41 Ck. # Beg. Balance 650 Item Check Deposit Balance 1,235 Johnson Supplies 425 810 Cash Sales Deposited 3,000 3,810 1,945 1,345 895 595 195 13 651 Utilities Col Employee A paycheck Employee B paycheck Computer Co Owner withd rawal Cash Sales Deposited 1,865 600 450 300 400 18 26 o 28 652 653 654 655 30 4,500 4,695 Hunter's Bankstatement Add Deposits 1,235 3,000

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