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Starlight Company needs a bank reconciliation at June 30th. Cash balance per bank $5,734.20 NSF check 525.00 Bank service charge 40.00 Cash balance per books
Starlight Company needs a bank reconciliation at June 30th. Cash balance per bank $5,734.20 NSF check 525.00 Bank service charge 40.00 Cash balance per books $5,985.20 Deposits in transit 610.00 Outstanding checks 824.00 Electronic Fund Transfer collected by the bank $100.00 Prepare a Bank Reconciliation for June 30th in proper format on the form provided or upload an excel file with your solution
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