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Winfield ConstructionBank ReconciliationJune 3 0 , 2 0 2 3 Bank statement balanceAdd:$ 7 , 8 0 0 Book balance$ 8 , 3 1 0

Winfield ConstructionBank ReconciliationJune 30,2023Bank statement balanceAdd:$ 7,800 Book balance$ 8,310Deposit of June 30 in transitDeduct:1,170$ 8,970Outstanding cheque #14660Adjusted bank balance$ 8,310Adjusted book balance$ 8,310The bank reconciliation prepared by Winfield Construction on June 30,2023, appeared as follows:The Cash account in the General Ledger appeared as follows on July 31:Prev4of6NextSearchPREACashAcct. No.101DateExplanationPRDebit Credit2023BalanceJune30Balance8,310July31CR34,16012,470

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