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Name, please Given the following information, prepare a bank reconciliation for tag prepare a bank reconciliation for Eagles

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Answer #1
Cash Balance as per Bank $5,245 Cash Balance as per Cash Book $4,320
Add:Deposit in Transit $3,160 Less:Bank service charges -$30
Less:Outstanding checks -$1,765 Add:Deposit not recorded $2,350
Adjusted Bank balance $6,640 Adjusted Book balance $6,640
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