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Business, 16.07.2020 21:01 ooferson

Prepare the bank reconciliation for Sawyer Cup by determining the correct balances for both book and bank. Prepare any required journal entries. 1. Cash balance per bank 9136.
2. Cash balance per book 8490
3. July bank service charges not recorded by the depositor $25
4. Deposit in transit July31 $780
5. Error made by silver key in recording check 1156 to the utility company 245 instead of 345.
6. Outstanding check July 31 $1551.
Correct balances

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Prepare the bank reconciliation for Sawyer Cup by determining the correct balances for both book and...
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