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Need Help!! Thanks in Advance! mework Saved The balance in Happ Inc.'s general ledger Cash account was $14,080 at September 30, before reconciliation. The September

Need Help!! Thanks in Advance! image text in transcribed
mework Saved The balance in Happ Inc.'s general ledger Cash account was $14,080 at September 30, before reconciliation. The September 30 balance shown in the bank statement was $12.630. Reconciling items included deposits in transit, $1,350, bank service charges, $145, NSF check written by a customer and returned with the bank statement, 600, outstanding checks $530; and interest credited to the account during September but not recorded on the company's books, $115. Required: Prepare a bank reconciliation as of September 30 for Happ Inc HAPPING. Bank Reconciliation September 30 Balance per books Add Balance per bank Add Deduct Deduct Reconciled balance Reconciled balance

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