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Uuestion 2020 Question 2 4 points The Information below relates to the Cash account in the ledger of Jason Company Balance September 1-$25.700. Cash deposited-596.000

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Uuestion 2020 Question 2 4 points The Information below relates to the Cash account in the ledger of Jason Company Balance September 1-$25.700. Cash deposited-596.000 Balance September 30-522 200 Checks witten$99.500 The Saplumber bank statement shows a balance of $24.635 on September 30 and the following memoranda Collection of 54.200 note plus interest 550 $4250 Interesteamed on checking account 528 Daits NSF check Hoover Safety deposit box sont 5729 575 At September 30 deposit in transit were 54596.and titaning checks totale $1557 Instructions Prepare the bank reconciliation at September 30 For the toolbar, press ALT-F10 POOR ALTIN 30 Mac BVS Paragraph Aral !!! HI 2

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