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1.
Cash balance according to bank statement
Add:
Subtotal
Deduct outstanding checks:
Adjusted balance
Cash balance according to company’s records
Add:
Subtotal
Deduct:
Adjusted balance
2.
Amount to be reported as cash on the June 30 balance sheet
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1.
Cash balance according to bank statement 13,624.71$
Add: Deposit of June 30, not recorded by bank 1,117.74
An asterisk (*) will appear to the right of an incorrect entry. The essay answer will not be graded.
Answers are entered in the cells with gray backgrounds.
Cells with non-gray backgrounds are protected and cannot be edited.