The August 31 bank balance is $5,300. b. The bank statement includes two charges for NSF checks from customers. One is for $340 (#1), and the other is for $90 (#2). c. The following White Healthcare checks are outstanding at August 31: Check No. Amount 237 70 288 130 291 295 500 294 610 40 296 100 d. White collects from a few customers by EFT. The August bank statement lists a $2,000 EFT deposit for a collection on account. The bank statement includes two special deposits that White hasn't recorded yet: $600 for dividend revenue, and $90 for the interest revenue White earned on its bank balance during August. The bank statement lists a $20 subtraction for the bank service charge. g. On August 31, the White treasurer deposited $340, but this deposit does not appear on the bank statement. h. The bank statement includes a $750 deduction for a check drawn by Multi-State LLLLLLLLL LLLLLLLLLLL is for $340 (#1), and the other is for $90 (#2). c. The following White Healthcare checks are outstanding at August 31: Check No. Amount 237 70 288 130 291 500 294 610 295 40 296 100 d. White collects from a few customers by EFT. The August bank statement lists a $2,000 EFT deposit for a collection on account. The bank statement includes two special deposits that White hasn't recorded yet: $600 for dividend revenue, and $90 for the interest revenue White earned on its bank balance during August. The bank statement lists a $20 subtraction for the bank service charge. g. On August 31, the White treasurer deposited $340, but this deposit does not appear on the bank statement. h. The bank statement includes a $750 deduction for a check drawn by Multi-State Freight Company. White notified the bank of this bank error 1. White's Cash account shows a balance of $2,700 on August 31. The August 31 bark statement of White Healthcare has just arrived from Unified Bank. To prepare the bank reconciliation, you gather the following dat Chok the icon to view the data) Read the current August 31, 2018 Requirement 1. Prepare the bank conton for White Hathore W e Heathcare Bank Reconciliation August 31, 2010 A Requirements 1. Prepare the bank recondition for White Healthcare at August 31, 2018 2. Jumalan rent from the bank reconciliation include an explanation for each any Print Choose from any it or enter any number in the input fields and then continue to the next question The August 31 barkament of White Healthcar has just arrived from United Bark. To prepare the bank reconciliation, you gether the following data Click the icon to view the data) Read the Requirement 2. Joum m y required from the bank recortion, include an explanation for eacherty Record debilis first, the credite Select the e Begin by preparing the joumal try to record the EFT collection n tion on the last line of the journal entry table) Date Accounts and explanation Debit Crede Aug 31 Requirements 1. Prepare the bank reconciliation for White Healthcare at August 31, 2018 2. Jum a nymoured entries from the bank reconciliation include an explanation for each arty Next, joumalize the dividend revenue Accounts and Explanation Crede Done Choose from any list or enter any number in the input fields and then continue to the next ston The August 31 bank w Click the icon to oment of White Heather has just arrived from United Bank. To prepare the bank reconciliation, you gather the following data the data) Read the rourement Journalize the total NSF checks (Record on jumal entry for both NSF checks) Accounts and explanation De Crede 0 Requirements 1. Prepare the bank recordation for White Healthcare at August 31, 2018 2. Journal an d entries from the bank reconciliation include an explanation for each any Joume the bank charges Accounts and Explanation Debit Aug 31