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please quickly Question 3 Petra Co. has received the bank statement for the month of July, and in it the balance per bank is reported

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Question 3 Petra Co. has received the bank statement for the month of July, and in it the balance per bank is reported as 222,200 J.D, and the accountant has prepared the accounting records and shows a balance per book as 211,100 J.D And ABC co has the following information: 1. A deposit registered by the company on July 28th and received by the bank on August 1" of 8,600 J.D 2. Outstanding check no. 127 for 3,200 J.D, outstanding check no 142 for 10,600 $ 3. Petra Co. wrote a check no. 136 for 5,000 $ and the bank correctly paid the amount, however Petra Co. recorded it as 3,500 J.D 4. (debit memoranda There was s NSF check received by Petra Co. for 5,000 J.D 5. Lcredit memoranda.) The bank collected a note receivable for 12,000 J.D, the note incurred interest revenue of 1,000 J.D and the bank collection fee was 5% of the note face value. repare the needed bank reconciliation ( show your work as every step has points associated with it) oints)

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