38 Prepare a bank reconciliation for June using the bank statement and T-account above and...
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Accounting
38 Prepare a bank reconciliation for June using the bank statement and T-account above and the information below. 39 Additional information: 40 There were no deposits in transit or outstanding checks at May 31. 41 Note: Columns C and F must be entered as positive values. In columns B \& E, use cell references 42 to the appropriate items from the list below. List "Deductions" in chronological order (earliest item first). \begin{tabular}{|l|l} \hline 43 & Bank Error \\ 44 & Deposits in \\ \hline 45 \end{tabular} NSF Check \begin{tabular}{l|l} 44 & Deposits in Transit \\ \hline 45 & \end{tabular} EFT from Customer Interest Earned Outstanding Checks Recording Error Service Charge



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You can see the logs in the Dashboard.