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You are to complete the February 28 bank reconciliation for MeNyou Inc. using the following information: a 3. You are to complete the February 28
You are to complete the February 28 bank reconciliation for MeNyou Inc. using the following information:
a 3. You are to complete the February 28 bank reconciliation for MeNyou Inc. using the following information: Outstanding checks: Deposit in transit $3,300 No. 181 $350 dNote collected by bank as No. 184 300 MeNyou's agent (no No. 185 225 interest)... 2,000 b Check no. 142 (for Repair NSF check of I.M. Broke.. Expense) was written for $320 f Bank service charge.. 30 but erroneously recorded in MeNyou records as $230. Difference 90 The Bank Balance is $13,265 and the book balance is $14,060 e 250Step by Step Solution
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