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please help prepare the journal entries after the bank reconciliation and adjusting entries are made 3. Using the following information, prepare a bank reconciliation for

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please help prepare the journal entries after the bank reconciliation and adjusting entries are made

3. Using the following information, prepare a bank reconciliation for Candace Co. for May 31: (a) The bank statement balance is $2,936. (b) The cash account balance is $3,194. (c) Outstanding checks amounted to $465. (d) Deposits in transit are $655. (e) The bank service charge is $50. (f) A check for $97 for supplies was recorded as $79 in the ledger. Prepare the bank reconciliation at September 30 and the necessary journal entries

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