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The Cash account of Randell Corporation had a balance of $3,560 at August 31, 2021. Included were outstanding checks totaling $1,600 and an August

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The Cash account of Randell Corporation had a balance of $3,560 at August 31, 2021. Included were outstanding checks totaling $1,600 and an August 31 deposit of $300 that did not appear on the bank statement The bank statement, which came from Picadilly State Bank, listed an August 31 balance of $5,358. Included in the bank balance was an August 30 collection of $540 on account from a customer who pays the bank directly. The bank statement also showed a $29 service charge, $17 of interest revenue that Randell eamed on its bank balance, and an NSF check for $30. Randell Corporation's bank reconciliation follows. (Click the icon to view the bank reconciliation report) Read the men Make the company's journal entries for transactions that arise from the bank reconciliation Date each transaction August 31, 2021, and include an explanation with each entry. (Record debits first, then credits. Select the explanation on the last Sine of the joumal entry table.) Record the bank collection. Date 2021 Aug 31 Journal Entry Accounts and Explanations Debit Credit

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