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Your assistant prepared the following bank reconciliation statement. It appears that the statement is unacceptable and the task of preparing a proper reconciliation falls upon

Your assistant prepared the following bank reconciliation statement. It appears that the statement is unacceptable and the task of preparing a proper reconciliation falls upon you.

Brandon Company
Bank Reconciliation
May 31, 2017
Balance per books May 31 $9,520
Add:
Electronic Fund Transfer $1,072
Deposit in transit 2,467 3,539

$13,059

Deduct:
Bank charges $14
NSF cheque, Rhonda Teal 508
Outstanding cheques 1,812
Error in cheque #78: correctly issued and processed by the bank for $770, but incorrectly recorded in the books as $730 (Accounts PayableDelta Co.) 40 2,374

Indicated bank balance $10,685
Balance per bank statement 9,375

Discrepancy $1,310

Prepare the necessary journal entries. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)

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