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Tosh Corp. prepares monthly bank reconciliations as part of its cash controls. Tosh's bank provided the following amount about Tosh's cash balance at the bank

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Tosh Corp. prepares monthly bank reconciliations as part of its cash controls. Tosh's bank provided the following amount about Tosh's cash balance at the bank for during the month of April: 1. Prepare a bank reconciliation at April 30 in proper form. Tosh Corp. Bank Reconciliation April 30 Cash balance from bank statement Add: Less: Adjusted cash balance Cash balance from company records Add: Less: Adjusted cash balance 2. Record any necessary adjusting journal entries. If an amount box does not require an entry, leave it blank. (Record bank service charge) (Record interest) (Record NSF check) (Record note receivable collected by bank) (Correct error in recording check)

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