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On September 30 of the current year, SoundBlast Music received a bank statement dated September 29. Directions: Prepare a bank statement reconciliation Bank statement balance

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On September 30 of the current year, SoundBlast Music received a bank statement dated September 29. Directions: Prepare a bank statement reconciliation Bank statement balance Service charge Outstanding deposit, September 30 Outstanding checks: No.220 No.221 No: 223 Chick stubbalance on Check Stub No. 225 $ 1508 8.00 150.00 70.00 35.00 25.00 $ 1536 Check stub (Date) RECONCILIATION OF BANK STATEMENT Balance On Check Shub Na. DEDUCT BANK CHARGES: Description Babince On Bank Statement ADD OUTSTANDING DEPOSITS: Dale Amount s Amount 1 1 $- 1 Total outstanding deposits TOTAL DEDUCT OUTSTANDING CHECKS: CK CK No. Amount No. Amount Total bank charges Total outstanding checks Adjusted Bank Balance Adjusted Check Sub Balance

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