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ring Bank Reconciliation, Entries, and Reporting Cash ey Company's June 30 bank statement and June ledger accounts for cash are summarized below: E6-25 06-4 pre

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ring Bank Reconciliation, Entries, and Reporting Cash ey Company's June 30 bank statement and June ledger accounts for cash are summarized below: E6-25 06-4 pre 1300 BANK STATEMENT Checks Deposits Balance -2 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 $ 6,500 $16.200 22.700E $16,600 -) 40 6,100 6,060 6,060 Cash (A) 19,000 June 1 Balance June Deposits 6,500 June Checks written 18,100

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