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Question 41 were gathered on December 31, 2 The following data related to the bank account of Apex Company Balance per bank statement Balance per

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Question 41 were gathered on December 31, 2 The following data related to the bank account of Apex Company Balance per bank statement Balance per company records The following 15,000.00 14,450.00 additional information was provided to help reconcile the reconcile the company's bank account: Bank Service charges Deposit in transit Check from Sam Smith returned nsf Outstanding checks s 100.00 3,800.00 650.00 $ 5,100.00 Prepare a bank reconcillation for Apex Company on December 31, 20 APEX COMPANY Bank Reconciliation 12/31/2019 Cash balance according to bank statement Adjustments Adjusted Balance per bank Cash balance according to Apex Company Adjustments:.. Adjusted Balance per books

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