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The following information is for Sunland Compary in September: 1. Cash balance per bank, September 30 , $6 , 400 2. Cash balance per books,
The following information is for Sunland Compary in September: 1. Cash balance per bank, September 30 , $6 , 400 2. Cash balance per books, September 30 , $4 , 710 3. Outstanding cheques, $9 , 180 4. Bank service charge, $24 5. NSF cheque from customer, $230 . 6. Deposits in transit, $1 , 346 . 7. EFT recelpts from customers in psyment of their accounts, 574 8. Cheque \#212 was correctly written and posted by the bank as $426 Sinland Company had recorded the cheque an 5462 in error. The cheque was written for the purchase of supplies. Prepare a bank reconciliation at September 30, 2024. (Wat items that increase baknce es per bank G boaks first) Journalize the entries required by the reconcillation at September 30, 2022, on Sunland Companys books: (Credir ocoount tides ove automotically indented when the amount is entered. Do not indent onsnoalk If no entry is reguiked, seloct "No Entry" for the ocoount tieles and enter O for the amounts. List all deblt entries before ondit entries
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