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Questions 3-6 (of 6) E5-5 Preparing a Bank Reconciliation and Journal Entries and Reporting Cash [LO 5-4] The following information applies to the questions displayed

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Questions 3-6 (of 6) E5-5 Preparing a Bank Reconciliation and Journal Entries and Reporting Cash [LO 5-4] The following information applies to the questions displayed below.] Hills Company's June 30 bank statement and the June ledger account for cash are summarized here BANK STATEMENT Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Checks Deposits Other Balance $7180 25,080 6,080 $30 6,050 6,050 $17,900 $19,000 Cash (A) June 1 Balance June Deposits June 30 Balance 6,790 18,800 19,300 Checks written June 6,290 References

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