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The following information relates to Sunland Limited's Cash account. The reconciled cash balance from June's bank reconciliation is $ 19,120. During the month of July,

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The following information relates to Sunland Limited's Cash account. The reconciled cash balance from June's bank reconciliation is $ 19,120. During the month of July, Sunland recorded cash receipts of $ 21.700 and cash payments of $ 24,300 in the general ledger Cash account.An examination of the company's July bank statement shows a balance of 19,460 on July 31 outstanding cheques $3,830: deposits in transit $ 1.650: EFT collections on account that were not yet recorded on the books $ 2.198: NSF cheque $ 1.242 NSF fee $ 78; and bank services charges $ 118 Determine the cash ballance per Sunland Limited's books Cash balance Prepare the bank reconciliation at July 31.(List items that increase balance as per bank & books first) Sunland Limited Bank Reconciliation July 31

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