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pretty stuck thanks in advance E6-25 Preparing Bank Reconciliation Entries, and Reporting Cash L06-4 Bentley Company's June 30 bank statement and June ledger secounts for

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E6-25 Preparing Bank Reconciliation Entries, and Reporting Cash L06-4 Bentley Company's June 30 bank statement and June ledger secounts for cash are summarized below BANK STATEMENT Checks Droosi Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 516,150 $16,150 25 Balance $ 7,200 23 350 7,200 7,175 7.175 June 1 Balance June Deposits 7,200 18,100 Cash (A) June Checks written 19.800 Required: 1. Reconcile the bank account A comparison of the checks written with the checks that have cleared the bank shows outstanding check of $3,450. A deposit of $1.950 in transit at the end of June BENTLEY COMPANY Bank Reconciliation, June 30 Company's Books Bank Statement Additions: Additions: Deductions: Deductions: Cantect cash balance Carroca balance 2. Prepare the journal entry that should be made as a result of the bank recondition (if ne entry is required for transaction event, malect "Ho Journal entry required in the first account fald) Vierw transaction list Journal entry worksheet

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