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You are to complete the June 30 bank reconciliation for Huang. Inc. using the following information Outstanding checks: No. 181 $350 No. 184 $300 No.
You are to complete the June 30 bank reconciliation for Huang. Inc. using the following information Outstanding checks: No. 181 $350 No. 184 $300 No. 185 $225 Cheek no. 142 (for Repair.... Expense) was written for $320 but erroneously recorded in Huang's records as $230. Difference Deposit in transit $3, 300 Note collected by bank as Huang's agent (no interest) $2,000 NSF check of I.M. Broke $250 Bank service charge $30
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