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Prepare the MATRIX INC. BANK RECONCILIATION information provided below in a Journal Entry and in a T-Account Format for the information below. MATRIX INC. BANK

Prepare the MATRIX INC. BANK RECONCILIATION information provided below in a "Journal Entry" and in a "T-Account" Format for the information below.

MATRIX INC. BANK RECONCILIATION

Cash balance per bank $8,500

Cash balance per books (general ledger) $7,320

Outstanding checks $3,6000

Check mailed to the bank for deposit had not reached the bank by the statement date. $2,050

NSF check returned by the bank for accounts receivable $200

July interest earned on the bank statement $10

Check no. 700 for misc. expense cleared

the bank for $200; erroneously recorded

in the Matrix books for $20

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