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Prepare the journal entries that the company should make as a result of the bank reconciliation. Preparing a bank reconciliation. - Excel FILE HOME INSERT
Prepare the journal entries that the company should make as a result of the bank reconciliation.
Preparing a bank reconciliation. - Excel FILE HOME INSERT PAGE LAYOUT FORMULAS DATA REVIEW VIEW Sign In . AA Alignment Number Conditional Format as Cells Editing matting , Table" Styles . Clipboard Font A1 X 'V The June bank statement and the cash T-account for Superior Printing, Inc., is 1 The June bank statement and the cash T-account for Superior Printing, Inc., is shown below BANK STATEMENT Date Checks Deposits Other Balance 4 5 June 1 6 440 1,200 500 1,200 250 80 9,800 350 4,600 700 920 18,500 18,060 16,860 16,360 15,160 24,910 23,990 49,190 48,840 44,240 60,540 59,570 59,000 10 13 20 10 10,000 NSF 840 12 13 14 15 16 35,000 26 27 29 30 17,000 Serv. Charge Interest Earned 50 30 600 30Step by Step Solution
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