Question: After preparing Hunter Security Systems' bank reconciliation in Starter 8-7, journalize the company's transactions that arise from the bank reconciliation. Date each transaction May 31,

After preparing Hunter Security Systems' bank reconciliation in Starter 8-7, journalize the company's transactions that arise from the bank reconciliation. Date each transaction May 31, 2017, and include an explanation with each entry.
In Starter 8-7
The Cash account of Hunter Security Systems reported a balance of $4,960 at May 31, 2017. There were outstanding cheques totalling $1,800 and a May 31 deposit in transit of $400. The bank statement, which came from Royal Bank, listed a May 31 balance of $7,600. Included in the bank balance was a collection of $1,260 on account from Kelly Brooks, a Hunter customer who pays the bank directly. The bank statement also shows a $40 service charge and $20 of interest revenue that Hunter earned on its bank balance.

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