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The following bank reconciliation was prepared as of June 30, 20Y7: Poway Co. Bank Reconciliation For the Month Ended June 30, 20Y7 Line Item Description
The following bank reconciliation was prepared as of June 30, 20Y7: Poway Co. Bank Reconciliation For the Month Ended June 30, 20Y7 Line Item Description Amount Amount Cash balance according to bank statement $15,785 Add: Outstanding Check No. 1067 $565 Outstanding Check No. 1106 460 Outstanding Check No. 1110 1,030 Outstanding Check No. 1113 950 Total additions 3,005 Deduct: Deposit of June 30 not recorded by bank (7,000) Adjusted balance $11,790
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