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Please explain each step and follow the format of the pictures. I don't really understand what to do, as I find all the information too

Please explain each step and follow the format of the pictures. I don't really understand what to do, as I find all the information too overwhelming.

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QUESTION 3 Partia y corretMark2500 utof 52.00 Fug questien Bank Reconciliation The bank reconciliation made by Sandler Company, a sole proprietorship, on March 31 showed: Deposit in transit of Outstanding checks 51.300 o.797 S550 o.8045690 512,020 The reconciled cash balance on March 31 was The following bank statement is available for April 2015

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