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Wright Company's cash account shows a $ 3 1 , 1 0 0 debit balance and its bank statement shows $ 2 9 , 4

Wright Company's cash account shows a $31,100 debit balance and its bank statement shows $29,400 on deposit at the close of business on May 31.
The May 31 bank statement lists $280 in bank service charges; the company has not yet recorded the cost of these services.
Outstanding Cheques as of May 31 total $7,400.
May 31 cash receipts of $8,000 were placed in the bank's night depository after banking hours and were not recorded on the May 31 bank statement.
In reviewing the bank statement, a $580 check written by Smith Company was mistakenly drawn against Wright's account.
The bank statement shows a $240 NSF Cheque from a customer; the company has not yet recorded this NSF check.
Prepare its bank reconciliation using the above information.
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