Prepare a bank reconciliation from the following information: a. Balance per bank statement as of May 31,
Question:
Prepare a bank reconciliation from the following information:
a. Balance per bank statement as of May 31, $17,755.44
b. Balance per books as of May 31, $12, 211.94
c. Deposits in transit, $2,254.81
d. Outstanding checks, $7,818.16
e. Bank service charge, $19.85
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