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Using the following information, prepare a bank reconciliation. - Bank balance: $4,787 - Book balance: $5,791 - Deposits in transit: $1,546 - Outstanding checks: $956

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Using the following information, prepare a bank reconciliation. - Bank balance: $4,787 - Book balance: $5,791 - Deposits in transit: $1,546 - Outstanding checks: $956 - Interest income: $52 - NSF check: $466 Using the following information, prepare the fournal entries to reconcile the bank statement. - Bank balance: $4,178 - Book balance: $2,851 - Deposits in transit: $325 - Outstanding checks: $108 and $534 - Bank service charges: $25 - Notes recelvable: $1,000; interest income: $35 If an amount box does not require an entry, leave it blank. - Bank balance: $4,678 - Book balance: $2,549 - Deposits in transit: $323 - Outstanding checks: $108 and $334 - Bank charges: $25 - Notes receivable: $2,000; interest: $35

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