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Take me to the text The bank statement for Unique Fashion had an ending cash balance of $2,400 on March 31, 2019. On this date

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Take me to the text The bank statement for Unique Fashion had an ending cash balance of \$2,400 on March 31, 2019. On this date the cash balance in their general ledger was \$3,310. After comparing the bank statement with the company records, the following information was determined. Required Reconcile the ledger and bank statement and create the required journal entries. Do not enter dollor signs or commas in the innut boxes. Do not use negative signs. Select the proper order for the headings of the Bank Reconciliation. Cash balance per bank statement Cash balance per books Add Add Outstanding deposit EFT deposit Interest earned Deduct NSF cheque NSF service charge Bank service charge Adjusted bank balance Adjusted book balance

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