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Use the following information to prepare a bank reconciliation for Outback Company at April 30, 2016 Cash account balance, April 30, $19, 572.80. Bank statement

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Use the following information to prepare a bank reconciliation for Outback Company at April 30, 2016 Cash account balance, April 30, $19, 572.80. Bank statement balance, April 30, $21, 516.40. Service charge on bank statement not recorded in books. $140.00 Deposits in transit, $2, 877.20. Outstanding checks, April 30, $1, 893.60. The bank statement included a charge of $932.80 for A. Parish's NSF check. The check, returned with the bank statement, had been received by Outback in payment on account. The bank collected a $4, 000.00 note in April for Outback. This amount was included in the bank statement but Outback had not yet recorded the collection. The bank's $140.00 service charge for April [see (3) above] included collection charge for the

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