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Using the following information prepare a bank reconciliation for Hrdroe Co for May 31, 2015. a. bank statement balance $3,712 b. cash acct. balance $3,790

Using the following information prepare a bank reconciliation for Hrdroe Co for May 31, 2015. a. bank statement balance $3,712 b. cash acct. balance $3,790 c. outstanding check amounted to $850 d. deposit in transit is $845 e. bank service charge $45 for. interest added to checking account by the bank is $15 g. check drawn for $45 was incorrectly charged by bank as $98

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