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Plz help me to deal with this question.Plz reply to me asap.Thx alot. 25 6. Using the following information, Prepare a Bank Reconciliation for Mary

Plz help me to deal with this question.Plz reply to me asap.Thx alot.

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25 6. Using the following information, Prepare a Bank Reconciliation for Mary Teddy Bears Ltd for 31 July 2016. (Show both Bank and ledger). a The bank statement balance is $2,306. b- The cash account balance is $2,930 C- Outstanding cheques totalled $585. d- Deposits in transit are $1.,175. e. f. The bank service charge is $25. A cheque for $98 for supplies was recorded as $89 in the ledger. Bank Reconciliation

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