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Kesler Co. deposits all receipts intact on the day received and makes all payments by cheque. On July 31,2023 , after all posting was completed,

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Kesler Co. deposits all receipts intact on the day received and makes all payments by cheque. On July 31,2023 , after all posting was completed, its Cash account showed a \$10,897 debit balance. However, Kesler's July 31 bank statement showed only $9.988 on deposit in the bank on that day along with the following information. a. Outstanding cheques, \$2,731. b. Included with the July cancelled cheques returned by the bank was a $50 debit memo for bank services. c. Cheque \#919, returned with the cancelled cheques, was correctly drawn for $678 in payment of the utility bill and was paid by the bank on July 15. However, it had been recorded with a debit to Utilities Expense and a credit to Cash as though it were for $768. d. The July 31 cash receipts, \$3,680, were placed in the bank's night depository after banking hours on that date and were unrecorded by the bank at the time the July bank statement was prepared. Required: a. Prepare a bank reconciliation for Kesler Co. at July 31

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