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Use the following information to prepare a bank reconciliation of Acme Corp. Balance per books, 8/31/XX $23,500 Balance per bank statement, 8/31/XX Deposit in

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Use the following information to prepare a bank reconciliation of Acme Corp. Balance per books, 8/31/XX $23,500 Balance per bank statement, 8/31/XX Deposit in transit, 8/31/XX 21,650 3,900 Return of customer's check not sufficient funds, 8/30/XX 600 Outstanding checks, 8/31/XX 2,750 Bank service charges for August 100 Use the data above to calculate the Adjusted Bank Balance and the Adjusted Book Balance at August 31, 20XX Acme Corporation Bank Reconciliation August 31, 20XX Balance per the bank A A A/ Adjusted Bank Balance A/ Balance per books A/ A/ A/ A/ A/ A/ Adjusted Book Balance

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