From the following, construct a bank reconciliation for King Co. as of November 30, 201X. Checkbook balance

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From the following, construct a bank reconciliation for King Co. as of November 30, 201X.
Checkbook balance ......... $1,907.10
Bank statement balance ........ 1,938.20
Deposits in transit ........... 283.70
Outstanding checks ........ 389.50
Bank service charge ........ 15.80
NSF check ............ 58.90

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