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The September 30 bank statement for Bennett Company and the September ledger account for cash are summarized here: BANK STATEMENT Checks Deposits Balance Balance, September

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The September 30 bank statement for Bennett Company and the September ledger account for cash are summarized here:

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BANK STATEMENT Checks Deposits Balance Balance, September 1 $ 7, 250 Deposits recorded during September $25 , 950 33 , 200 Checks cleared during September $26, 450 6, 750 NSF checks-Betty Brown 190 6 , 560 Bank service charges 42 6, 518 Balance, September 30 6, 518 Cash (A) Sept. 1 Balance 7, 250 Sept. Checks written 29 , 800 Sept. Deposits 28 , 900Required 1 Required 2 Required 3 Required 4 Reconcile the bank account. Company's Books Bank Statement Additions: _ Deductions: Correct cash balance What should the balance in the Cash account be after the reconciliation entries? Cash balance What total amount of cash should the company report on the September 30 balance sheet? Total amount of cash

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