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Construct the Bank Reconciliation for Evitus Company as of July

Question 102

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Construct the bank reconciliation for Evitus Company as of July 31, 2020 from the following information:
a. Balance per bank statement    $10,150
b. Deposit in transit                   705
c. General Ledger balance       10,250
d. Outstanding cheques             800
e. NSF cheque (debit memo)    220
f. Service charges                      115
g. Interest earned on account 140

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Evitus Company
Bank Reconciliation as of...

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