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The bank statement for Plurah Company indicates a balance of $2.020 on June 30. The cash balance per books had a balance of 5890 on

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The bank statement for Plurah Company indicates a balance of $2.020 on June 30. The cash balance per books had a balance of 5890 on this date. The following information pertains to the bank transactions for the company 1. Deposit of $755, representing cash receipts of June 30, did not appear on the bank statement 2 Outstanding checks totaled $340, 3. Bank service charges for June amounted to $42 4, The bank collected a note receivable for the company for $1,600 plus $67 interest revenue 5 An NSF check for $80 from a customer was returned with the statement. Prepare a bank reconciliation for June 30. PHAROAH COMPANY Bank Reconciliation

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