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The following information is provided with regards to Hind, Inc.: Balance in cash account on books at December 31, 2019 prior to receiving bank statement
The following information is provided with regards to Hind, Inc.: Balance in cash account on books at December 31, 2019 prior to receiving bank statement $ Depost in transit $ Outstanding checks $ Balance in cash account per bank statement on December 31, 2019 $ Electronic collection on account from Anas, a customer of Hind, Inc. $ Service charge Check #1250 written to Grand Blanc Electric Company (correct amount as shown on bank statement) $ Amount Hind, Inc. recorded check #1250 for on books (incorrect amount) 175,500 13,500 16,200 211,950 37,800 2,700 20,250 18,900 1. Prepare the bank side of Hind, Inc's December 31st bank reconciliation (4 points): 32. Prepare the book side of Hind, Inc's December 31st bank reconciliation (5 points): = 3. Prepare all journal entries that Hind, Inc. needs to record from the bank reconciliation (6 points): 2. Droblom Droblom Droblom 6. Droblom7 Droblom o Droblom Donu
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