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Question 2 For each c he items n the following is identify where t is induded on bank recuno a ori Next o each item
Question 2 For each c he items n the following is identify where t is induded on bank recuno a ori Next o each item indicate "It crease Bank for an increase 1n the bank balance balance; "Decrease Book for a decrease in the book balance;or Not Applicable, to indicate that the item is not included in the bank reconciliation. Decrease Bank or a decrease in the bank balance ncrease Book ur an ncrease in the boo dutstanding cheques from a priar month (May) that are still outstanding Outstanding cheques from prior month (May) that are no longer outstanding A deposit in transit from the current month (June) A company error in recording a cheque made out for $630 as $360 A bank error in recording a company cheque made out for $200 as $290 Bank service charges A bank deposit for interest earned on an investment Outstanding cheques from the current month (June) A company error in recording a $1,280 deposit as $1,690 A bank service charge for an NSF cheque 9. 11. a bank error in recording a $2,575 depost as $2,755 An EFT collection an account
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