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This information relates to the Cash account in the ledger of Carla Vista Company. Balance September 1-$19,180; Cash deposited-$64,000 Balance September 30-$20,380; Checks written-$62,800
This information relates to the Cash account in the ledger of Carla Vista Company. Balance September 1-$19,180; Cash deposited-$64,000 Balance September 30-$20,380; Checks written-$62,800 The September bank statement shows a balance of $19,280 at September 30 and the following memoranda. Credits Debits Collection from customer of electronic funds transfer $2,480 NSF check: H. Kane $1,210 Interest earned on checking account 70 Safety deposit box rent 85 At September 30, deposits in transit were $5,413 and outstanding checks totaled $3,058. Prepare the bank reconciliation at September 30, 2022. (List items that increase balance as per bank & books first.) CARLA VISTA COMPANY Bank Reconciliation
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