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Using the following information:The bank statement balance is $ 3 , 0 8 8 . The cash account balance is $ 3 , 4 0

Using the following information:The bank statement balance is $3,088.The cash account balance is $3,406.Outstanding checks amount to $585.Deposits in transit are $824.The bank service charge is $70.A check for $54 for supplies was recorded as $45 in the ledger.Prepare a bank reconciliation for Miller Co. for August 31.Miller Co.Bank ReconciliationAugust 31Line Item DescriptionAmountAmountCash balance according to bank statement$Cash balance according to bank statementAdd: Bank service chargeDeduct: Bank service chargeAdjusted balance$Adjusted balanceCash balance according to company's records$Cash balance according to company's records$- Select -- Select -Total deductionsTotal deductionsAdjusted balance$Adjusted balance

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