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Required information Required: 1. Prepare the bank reconciliation for this company as of July 31. BRANCH COMPANY Bank Reconci
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Answer #1
BRANCH COMPANY
Bank Reconciliation
July 31
Bank statement balance 28221 Book balance 25486
Add: Add:
Deposit of July 31 9132 Proceeds of note 8000
9132 8000
37353 33486
Deduct: Deduct:
Check No. 3031 1660 NSF check including fee 805
Check No. 3065 606 Service charge 12
Check No. 3069 2428 Error (Check 3056) 10
4694 827
Adjusted bank balance 32659 Adjusted book balance 32659
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