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The bank portion of the bank reconciliation for Crane Company at October 31, 2022, is shown below. CRANE COMPANY Bank Reconciliation October 31, 2022 Cash

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The bank portion of the bank reconciliation for Crane Company at October 31, 2022, is shown below. CRANE COMPANY Bank Reconciliation October 31, 2022 Cash balance per bank $12,697.90 Add: Deposits in transit 1,530.20 14,228.10 Less Outstanding checks Check Number Check Amount 2451 $ 1.260.40 2470 684.20 2471 844.50 2472 427.80 2474 1.050.00 4,26690 Adjusted cash balance per bank $9.961 20 The adjusted cash balance per bank agreed with the cash balance per books at October 31. The November bank statement showed the following checks and deposits Date 11-1 11-2 Checks Number 2470 2471 2474 2475 2476 11-5 2477 11-4 11-8 11.10 11-15 11-18 11-27 11-28 11-30 11-29 Bank Statement Deposits Amount Date Amount $ 684.20 11-1 $ 1.530.20 844.50 11-4 1.211.60 1,050.00 11-8 990.10 1,640.70 11-13 2,575.00 2,830.00 11-18 1.472.70 600.00 11-19 EFT 2.457.00 1.740.00 11-21 2.945.00 1,330.00 1125 256730 895.40 11:28 1.650,00 92.95 11-30 1.186.00 575.50 Total 18.584.90 940,00 $13,023.25 2479 2480 2481 SC 2483 2486 Total The cash records per books for November showed the following Date 11-1 11-2 11-2 11-4 Number 2475 2476 2477 2478 2479 2480 2481 Cash Payments Journal Amount Date Number $1,640.70 11-20 2483 2.830.00 11-22 2484 600.00 11-23 2485 538.20 11-24 2486 1,704.00 11-29 2487 1.330,00 11-30 2488 695.40 Total 612.00 Amount $575.50 82155 974.80 940,00 398.00 800.00 $14,460.15 Cash Receipts Journal Date Amount 11-3 $1,211.60 11-7 990.10 11-12 2,575.00 11-17 1.472.70 11-20 2,954.00 11-24 2.567.30 11-27 1.650.00 11-29 1.186.00 11 30 1,634.00 Total 16.240.70 11-8 11-10 11-15 11-18 2482 The bank statement contained two bank memoranda: 1 Acredit of $2,457.00 for the collection from a customer for Crane Company of an electronic funds transfer, A debit for the printing of additional company checks $92.95 2 At November 30, the cash balance per books was $11,884.60 and the cash balance per bank statement was $18,402.40. The bank did not make any errors, but Crane Company made two errors. Using the steps in the reconciliation procedure, prepare a bank reconciliation at November 30, 2022. (List items that increase balance as per bank and books first. Round answers to 2 decimal places, eg,5,275.50.) CRANE COMPANY Bank Reconciliation $ $

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