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The bank portion of the bank reconciliation for Langer Company at November 30, 2017, was as follows. redu... LANGER COMPANY Bank Reconciliation November 30, 2017
The bank portion of the bank reconciliation for Langer Company at November 30, 2017, was as follows. redu... LANGER COMPANY Bank Reconciliation November 30, 2017 t, Acc Cash balance per bank Add: Deposits in transit $14,717.90 2,530.20 17,248.10 Less: Outstanding checks Check Number 3451 3470 3471 3472 3474 Adjusted cash balance per bank Check Amount 2,260.40 720.10 844.50 1,426.80 ERSION ion 1,056.00 6,307.80 $10,940.30 per The adjusted cash balance per bank agreed with the cash balance per books at November 30. in The December bank statement showed the following checks and deposits. ing Nu 451 470 Date 471 12-1 472 12-2 474 12-7 Bank Statement Checks Deposits Number 3451 3471 3472 3475 3476 3477 3479 3480 3482 3483 3485 Amount Date Amount $2,260.40 12-1 2,530.20 ,211.60 2,365.10 2,672.70 2,945.00 2,567.30 2,836.00 1,025.00 $18,152.90 844.50 12-4 1,426.80 12-8 1,640.7012-16 12-4 12-8 bala 1,300.00 12-21 sh 12-10 12-15 12-27 12-30 12-29 N 12-31 2,130.00 2-26 3,080.00 12-29 600.00 12-30 475.50 Total ban 1,140.00 540.80 $15,438.70 Total
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