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PREVIOUS BALANCE 16,500 TOTAL CHECKS AND DEBITS 9,718 TOTAL DEPOSITS AND CREDITS 11,479 CURRENT BALANCE 18, 261 CHECKS AND DEDate Sept. 5 12 21 25 30 Cash Debit 1,141 2,228 4,135 2,376 1,781 11,661 Cash Payments Cash Check No. Credit 5901 1,836 5902PR Debit Cash Date Explanation Aug. 31 Balance Sept. 30 Total receipts 30 Total payments Acct. No. 101 Credit Balance 14,964CHAVEZ COMPANY Bank Reconciliation September 30 Book balance Add: Bank statement balance Add: Deduct: Deduct:

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Answer #1
CHAVEZ COMPANY
Bank Reconciliation
September 30
Bank statement balance 18261 Book balance 17271
Add: Add:
Deposit of Sept. 30 1781 Interest earned 19
Proceeds of note 1580
1781 1599
20042 18870
Deduct: Deduct:
Check No. 5893 517 NSF check 652
Check No. 5906 953 Error (check 5904) 42
Check No. 5908 396
1866 694
Adjusted bank balance 18176 Adjusted book balance 18176
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