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tal Practice Bank Reconciliation-Ax M Question 1-Practice Bank Reco x education.com/ext/map/index.html?_con-con&external browser 08launchUrl=https%253A%252F%252Flms.mhed Reconciliation i Saved Exercise 7-17 Preparation of bank reconciliation LO6 The
tal Practice Bank Reconciliation-Ax M Question 1-Practice Bank Reco x education.com/ext/map/index.html?_con-con&external browser 08launchUrl=https%253A%252F%252Flms.mhed Reconciliation i Saved Exercise 7-17 Preparation of bank reconciliation LO6 The bank reconciliation prepared by Winfield Construction on June 30, 2023, appeared as follows: Bank statement balance Add: Deposit of June 30 in transit Deduct: Outstanding cheque # 14 Adjusted bank balance Winfield Construction Bank Reconciliation June 30, 2023 $8,500 Book balance 1,310 $9,810 $ 9,080 R 730 $9,080 Adjusted book balance $ 9,080 The Cash account in the General Ledger appeared as follows on July 31: Cash Date 2023 Explanation PR Debit Credit June 30 July 31 Balance 31 CR3 CD6 4,391 2,722 Acct. No. 101 Balance 9,080 13,471 10,749 A list of deposits made and cheques written during July, taken from the Cash Receipts Journal an shown below: Deposits Made July 8 $1,130 11 1,450 24 1,255 13 5 Q Search Prey 1 of 1 N ASUS Vivobook 16 1 8
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