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prepare a bank reconcilation Bank Reconciliation Using the following information: (a) The bank statement balance is $3,868 (b) The cash account balance is $3,971 (c)

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Bank Reconciliation Using the following information: (a) The bank statement balance is $3,868 (b) The cash account balance is $3,971 (c) Outstanding checks amounted to $764 (d) Deposits in transit are $743 (e) The bank service charge is $115 A check for S30 for supplies was recorded as S21 in the ledger. Required: Prepare a bank reconcilation for Miner Co for August 31 Be sure to compiete the statement neading Reter to the Labels and Amount Descriptions provided for the exact wording of the answer choices for text enties "Deduct or Add will automaticaly appear if t is required Enter all amounts as positive values Labels and Amount Descriptions Labels Dell Update 6 updates are ready t Miller Co. Bank Reconciliation (Label) 1 Cash balance according to bank statement 5 Adjusted balance 6 Cash balance according to company's records 9 Adjusted balance

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