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Using the following information: a. The bank statement balance is $3,922. b. The cash account balance is $4,278. c. Outstanding checks amounted to $822. d.

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Using the following information: a. The bank statement balance is $3,922. b. The cash account balance is $4,278. c. Outstanding checks amounted to $822. d. Deposits in transit are $1,137. e. The bank service charge is $32, f. A check for $66 for supplies was recorded as $57 in the ledger. Prepare a bank reconciliation for Candace Co. for May 31. Candace Co. Bank Reconciliation May 31 Cash balance according to bank statement Adjustments: Total adjustments Adjusted balance Cash balance according to company's records Adjustments: Candace Co. Bank Reconciliation May 31 Cash balance according to bank statement Adjustments: Total adjustments Adjusted balance 000 Cash balance according to company's records Adjustments: Total adjustments OU Adjusted balance

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