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the bank statement for gatlin co. indicates a balance of 7735 on june 30, 2009. after the journals for june been posted, the cash account

the bank statement for gatlin co. indicates a balance of 7735 on june 30, 2009. after the journals for june been posted, the cash account had a balance of 4098. Prepare a bank reconciliation on the basis of the following reconciling items: a. cash sales of 742 had been erroneously recorded in the cash receipts journal as 724. b. deposit in transit not recorded by bank 425. c. bank memo for service charge 35. d.bank credit memo for note collectedm by bank 2475 including interest. e. b ank memo for 256 nsf check from janice smith a customer. f. checks outstanding 1860

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