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The balance in Happ Inc.s general ledger Cash account was $14,190 at September 30, before reconciliation. The September 30 b

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Answer #1

HAAP INC

Bank Reconciliation

September 30

Balance Per Bank 12,730 Balance Per Books 14,190
Add: Add:
Deposit in transit   1,360 Interest received 120
1,360 120
Sub Total 14,090 Sub Total 14,310
Deduct: Deduct :
Outstanding checks 540 Bank Service charges 150
NSF check returned 610
540 760
Reconciled Balance 13,550 Reconciled Balance 13,550

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