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Problem 7-4A On July 31, 2019, Crane Company had a cash balance per books of $6,300.00. The statement from Dakota State Bank on that date

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Problem 7-4A On July 31, 2019, Crane Company had a cash balance per books of $6,300.00. The statement from Dakota State Bank on that date showed a balance of $7,850.80. A comparison of the bank statement with the Cash account revealed the following facts. 1. The bank service charge for July was $19.00. 2. The bank collected $1,680 for Crane Company through electronic funds transfer. 3. The July 31 receipts of $1,359.30 were not included in the bank deposits for July. These receipts were deposited by the company in a night deposit vault on July 31 4. Company check No. 2480 issued to L. Taylor, a creditor, for $394.00 that cleared the bank in July was incorrectly entered as a cash payment on July 10 for $349.00. 5. Checks outstanding on July 31 totaled $2,029.10. 6. On July 31, the bank statement showed an NSF charge of $735.00 for a check received by the company from W. Krueger, a customer, on account. Prepare the bank reconciliation as of July 31. (List items that increase balance as per bank & books first 52.75.) Round answers to 2 decimal places, e.g. CRANE COMPANY Bank Reconciliation CALCULATOR FULL SCREEN PRINTER VERSION 4 BACK NEXT Prepare the necessary adjusting entries at July 31. (Credit account titles are automatically indented when amount is entered. Do not indent manually.) Debit Credit Date. Account Titles and Explanation July 31 (To record electronic funds transfer received by bank) 31. Assignment FI CALCULATOR Credit Debit Account Titles and Explanation Date. July 31. (To record electronic funds transfer received by bank) 31 (To record NSF check) 31. (To correct error in recording check) I 31. (To record bank service charge) Click if you would like to Show Work for this question: Open Show Work

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