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The following data were accumulared for ute in reconciling the bank account af . Rakglima Co; for Jhi: 1. Cowh balance according to the company's

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The following data were accumulared for ute in reconciling the bank account af . Rakglima Co; for Jhi: 1. Cowh balance according to the company's records at July 31, 116,110. 2. Cash balance accoeding to the bank statament at July 31,$16,790. 3. Checks outstanding, $3,270. 4. Deposit in vansit, not recorded by bark, $2,630. 5. A check for $340 usued in payment of an accoum was erreneously recorded in the check register as 1430. 6. Bark debit memo for service charges, $50. Journalize the entries that sheuld be mode by the company, part (o) Error and part (b) Service Charge. If an ampunt box does not require an entry, Ieove it bunk. a. Noly 31 b. July 31

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