MUA SUS P ancial Reports Homework: 4-2 My AccountingLab: Module Four Homework PART-2 ( Score: 13 of 25 pts 1 of 2 (2 complete) %E4-26B (book/static) HW Score: 76%, 38 of Question Help Lextech Company's checkbooklists the following Click the icon to view the checkbook) The January bank sement shows Click the icon to view the January bank statement) Requirement 1. Prepare Lexitect's bank reconciliation at January 31, 2019 include the balances of January 31 in each of addition total calculations of a box is not used in the table, leave the box empty, do not select a label or en Checkbook - X F. L Lexitech's Bank Reconciliation January 11, 2019 Date Check No Check Depost Dance 22 $ 60 Balance, January 31, 2019 Deposit intrat Two Sisters Catering Dividends received Less Outstanding checks My Lube Check Amencan Diabetes Association Riverbend Apartments Choose from any list or enter any number in the input fields and then CR Check Answer All parts showing Cear All OTY Homework: 4-2 My AccountingLab: Module Four Homework PART-2 ( Score: 13 of 25 pts 1 of 2 (2 complete) E4-26B (book/static) O Bank statement Lexitech Company's checkbook lists the following: (Click the icon to view the checkbook.) The January bank statement shows: (Click the icon to view the January bank statement.) Adjusted bank balance, January 31, 2019 Books: 120 Add Balance .... Add: Deposits Debit Checks: No. 60 623 624 625 Other charges NSF check Service charge Balance "This is the correct amount for check number 624 012) Less Choose from any list or enter any number in the input fields and then click Check Answer Prin [Done All parts showing SONY QU MUA SUS P ancial Reports Homework: 4-2 My AccountingLab: Module Four Homework PART-2 ( Score: 13 of 25 pts 1 of 2 (2 complete) %E4-26B (book/static) HW Score: 76%, 38 of Question Help Lextech Company's checkbooklists the following Click the icon to view the checkbook) The January bank sement shows Click the icon to view the January bank statement) Requirement 1. Prepare Lexitect's bank reconciliation at January 31, 2019 include the balances of January 31 in each of addition total calculations of a box is not used in the table, leave the box empty, do not select a label or en Checkbook - X F. L Lexitech's Bank Reconciliation January 11, 2019 Date Check No Check Depost Dance 22 $ 60 Balance, January 31, 2019 Deposit intrat Two Sisters Catering Dividends received Less Outstanding checks My Lube Check Amencan Diabetes Association Riverbend Apartments Choose from any list or enter any number in the input fields and then CR Check Answer All parts showing Cear All OTY Homework: 4-2 My AccountingLab: Module Four Homework PART-2 ( Score: 13 of 25 pts 1 of 2 (2 complete) E4-26B (book/static) O Bank statement Lexitech Company's checkbook lists the following: (Click the icon to view the checkbook.) The January bank statement shows: (Click the icon to view the January bank statement.) Adjusted bank balance, January 31, 2019 Books: 120 Add Balance .... Add: Deposits Debit Checks: No. 60 623 624 625 Other charges NSF check Service charge Balance "This is the correct amount for check number 624 012) Less Choose from any list or enter any number in the input fields and then click Check Answer Prin [Done All parts showing SONY QU