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The accountant for jerico Co. has provided you with the following information for the month of March 2021. Prepare the bank reconciliation as at March

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The accountant for jerico Co. has provided you with the following information for the month of March 2021. Prepare the bank reconciliation as at March 31, 2021 using the drop down menus below. 23 24 25 25 27 BANK STATEMENT OF JERICO CO. MONTH OF MARCH 2021 WITHDRAWALS DEPOSITS MINA TAN K DATE Balance Forward March March March 12 March 19 March 20 March 28 March 31 1000.00 DESCRIPTION Balance Forward Deposit Cha 335 thg 3D NSF Deposit Cha 333 Service Charts 2750.00 135.00 400.00 BALANCE 10000.00 11090.00 8360.00 9205.00 7805.00 10305.00 10355.00 10252.00 3000.00 450.00 95.00 REFERENCE DEBIT CREDIT ACCOUNT: CASH DATE Opening Balance March March March 4 March 9 March 10 March 18 March 23 ACCT 1000 BALANCE DI 10090.00 12090.00 13090.00 2000.00 1000.00 Deposit Deposit Cha 135 Cha 16 Chg 337 Deposit 3500.00 2750.00 135.00 62.00.00 6705.00 9705.00 3000.00 450.00 Answer: Jerico Co Bank Reconciliation March 31, 2021 Ending Bank Balance Add:

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