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The following information pertains to bank transactions of Crawford Company Prepare a Bank reconciliation to determine the RECONCILED CASH BALANCE on 9/30/2020. . Submit the

The following information pertains to bank transactions of Crawford Company Prepare a Bank reconciliation to determine the RECONCILED CASH BALANCE on 9/30/2020. . Submit the dollar amount of the Reconciled cash balance below. Cash on the books as of 9/30/2020 was $499 Cash on the bank statement for that date was $1,330 A deposit of $160 representing a deposit made after hours on 9/30/20 did not appear on the bank statement. Outstanding checks totaled $240 Bank service charges shown on the bank statement were $9 The bank collected a note for Crawford Company in the amount of $840 of which $40 represents interest An NSF check of $80 from Joe Betz was returned with the bank statement.

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