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Question # 3 (6 points): (a) Prepare a bank reconciliation for Tiger Co. using the following information at June 30, 2009. Balance per bank $

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Question # 3 (6 points): (a) Prepare a bank reconciliation for Tiger Co. using the following information at June 30, 2009. Balance per bank $ 20,000 Balance per company 19,200 Bank service charges 300 Bank interest earned 700 Deposit in transit 3,900 Outstanding checks 4,800 NSF fund check (Palm Co.) 500 (b) Journalize the relevant transactions

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