From the following, construct a bank reconciliation for Marx Co. as of June 30, 2013. G/L Cash
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G/L Cash balance $28,724 Deposit in transit 1,714 Bank statement balance Outstanding cheque 29,840 3,454 NSF cheque Bank service charge 600 24
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Related Book For
College Accounting A Practical Approach
ISBN: 978-0132564441
11th Canadian Edition
Authors: Jeffrey Slater, Brian Zwicker
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