Question: Canadian Carwash Company indicates that on December 31 the unadjusted balance per his books is $8,758 and the balance on his bank statement is $6,653.

Canadian Carwash Company indicates that on December 31 the unadjusted balance per his books is $8,758 and the balance on his bank statement is $6,653. Canadian Carwash Co requires you to prepare a Bank Reconciliation Statement for December 31 with the help of the following information provided: a. Outstanding cheques of $1,200 b. Deposits in transit of $5,250 c. Debit memorandum for bank service charge of $25 d. EFT of $1,970 from a customer for goods received

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