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Using the following information, prepare a bank reconciliation for Hammond Company for June 30, 2014. a. The bank statement balance is $7,562. b. The cash

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Using the following information, prepare a bank reconciliation for Hammond Company for June 30, 2014. a. The bank statement balance is $7,562. b. The cash account balance is $6,422 c. Outstanding checks totaled $1 ,650. d. Deposits in transit are $900. e f. 9 . The bank service charge is $22. Collection of note by bank, $500 plus $12 in interest. . An NSF check for $100 from a customer was returned with the statement

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