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View Policies Current Attempt in Progress A review of the March 30 bank statement and other data of Wildhorse Aviation revealed a $19.780 balance at

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View Policies Current Attempt in Progress A review of the March 30 bank statement and other data of Wildhorse Aviation revealed a $19.780 balance at March 31 on the bank statement and $19,430 as the balance in the cash account in the company's ledger. In addition, the following information was determined: 1. 2. 3. 4 NSF Check from J. Beiber in payment of account $204 Collection of a customer electronic payment by the bank $2,684, Deposits in transit at March 31 $3,554 Outstanding checks at March 31 $2,127. A check written by Wildhorse to Copytronics for a copy machine repair on March 13 was recorded at $1,320 but correctly cleared the bank at $1,230. Acheck drawn on the account of Halen Electronics for $793 was mistakenly charged against Wildhorse's account by the bank jat Int an 5. As 6. 11 na 3) Ch ash ciliati (a) Question 6 of 8 -110 E (a) As of March 31. prepare the bank reconciliation for the month of March (omit heading). (List items that increase bolasce us per bank & books first) Balance per bank statement 19.780 Add vt Deposits in transit 1 Ono Question 6 of 8 > -/10 $ List of Accounts Attempts of used

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