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Please prepare a bank reconciliation for Siamese, Inc. for the month ended November 30, 2016 in the proper format using the following information. Be sure

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Please prepare a bank reconciliation for Siamese, Inc. for the month ended November 30, 2016 in the proper format using the following information. Be sure to exclude items that do not belong on a bank reconciliation. Outstanding checks on November 30 are $3,115. The unadjusted balance of cash in the general ledger on November 30 was a debit balance a $15,257 The bank service charge for the month is $25. Siamese's check #2310 was correctly written and drawn for $130. It was erroneously recorded on the books as $310. The bank statement shows an NSF check from a customer of $220. The November 30 balance of notes receivable in the general ledger is $500. The November 30 balance of cash per the bank statement was $14,232. Deposits in transit on November 30 are $4,075

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