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Please prepare a bank reconciliation for December 31, 2018 using the following information: Deposits in transit 4,900 Bank statement balance December 31, 2018 18,500 Not
Please prepare a bank reconciliation for December 31, 2018 using the following information: Deposits in transit 4,900 Bank statement balance December 31, 2018 18,500 Not sufficient funds checks (NSF) 600 Cash balance per the general ledger Dec 31, 2018 21,500 Bank service charges on bank statement 300 Checks outstanding 800 Interest income on bank statement 2,000
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