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jarzola jarzola
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A year ago

From the following, prepare a bank reconciliation for the J. Company:

Note: Input all amounts as positive values.

Service charge $10

Checks outstanding $730

NSF $100

Deposits in transit $1,040

Checkbook balance $2,000

Bank balance $1,580

Textbook 
Math for Business and Finance: an Algebraic Approach

Math for Business and Finance: an Algebraic Approach


Edition: 3rd
Author:
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dreamnluvdreamnluv
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A year ago
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