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The following information pertains to Pewter Cup Company at August 30 . (Click the icon to view the information.) Prepare the bank reconciliation for Pewter
The following information pertains to Pewter Cup Company at August 30 . (Click the icon to view the information.) Prepare the bank reconciliation for Pewter Cup by delermining the correct balances for both book and bank. Prepare any required journal entries Prepare the bank reconciliation for Pewter Cup by determining the correct balances for both book and bank (Leave unused input fields blank If an input field is not used in the lable, leave the field empty, do not onter a zero. Use a minus sign or parentheses for any numbers to be subtracted.) 1. Cash balance per bank, $769. 2. August bank service charge not recorded by the depositor, $24. 3. Cash balance per books, $1,243. 4. Outstanding check, August 30,$87. 5. Deposits in transit, August 30,$547. 6. Error made by Pewter Cup in recording collection from customer as deposit of $890 for only $880. Item 1. Cash balance per books, $1,243 2. August bank service charge not recorded by the depositor, $24 3. Cash balance per bank, $769 4. Outstanding check, August 30, \$87 The following information pertains to Pewter Cup Company at August 30
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