Required information [The following information pores to the questo cayed below) The towing information is to e Branch Como tanice uso y a. On July 31, the company's Catch account mes 1 524.800 de bus system cash balance b. Check Number 3031 for $120. Che Number 30651 942 Chamber of $29 checks as of July 31 c. Check Number 3056 for dyre expense was correction 20 the accounting records as $1240 d. The July burime shows the bark collected $9.500 cash on and on ever before receng the statement e. The barkamer shows an $805 NSF Check. The check tabeen received from the bar has not yet recorded this check as NSF The July statement shows a $1 bank service charge has not yet been retted in anugerbec no previous nofication had been received 9. Branch's July 31 daily cash receipt of $10,692 were placed in the banks tight story of them becod. appear on the Suly 31 bank statement Required: 1. Prepare the bank reconciliation for this company as of July 31 BRANCH COMPANY Bank Recon Bark statement balance Add Book belang M Required: 1. Prepare the bank reconciliation for this company Bunkaren balio Add ko Deduct De Adjusted bank balance Required information [The following information pores to the questo cayed below) The towing information is to e Branch Como tanice uso y a. On July 31, the company's Catch account mes 1 524.800 de bus system cash balance b. Check Number 3031 for $120. Che Number 30651 942 Chamber of $29 checks as of July 31 c. Check Number 3056 for dyre expense was correction 20 the accounting records as $1240 d. The July burime shows the bark collected $9.500 cash on and on ever before receng the statement e. The barkamer shows an $805 NSF Check. The check tabeen received from the bar has not yet recorded this check as NSF The July statement shows a $1 bank service charge has not yet been retted in anugerbec no previous nofication had been received 9. Branch's July 31 daily cash receipt of $10,692 were placed in the banks tight story of them becod. appear on the Suly 31 bank statement Required: 1. Prepare the bank reconciliation for this company as of July 31 BRANCH COMPANY Bank Recon Bark statement balance Add Book belang M Required: 1. Prepare the bank reconciliation for this company Bunkaren balio Add ko Deduct De Adjusted bank balance