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Moode Time left 1:30:57 Question 3 Not yet answered Marked out of 10.00 Flag question The following information pertains to Alhemka Company Cash balance

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Moode Time left 1:30:57 Question 3 Not yet answered Marked out of 10.00 Flag question The following information pertains to Alhemka Company Cash balance per bank, December 31, $3,000. Cash balance per books, December 31, $3,500. Deposits in transit, December 31, $1,500 Outstanding checks, December 31, $600 Bank collected $500 note for Alhemka in December. However, this collection has not been recorded by Alhemka. December bank service charge not recorded by Alhemka Company $100 Required Prepare the bank reconciliation statement. (10 marks: 5 marks for adjusted cash balance per books and 5 marks for adjusted cash balance per bank statement. BIE Balance per bank statement

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