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Accounting

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El Gato Painting Company maintains a checking account at American Bank. Bank statements are prepared at the end of each month. The November 30, 2021, reconciliation of the bank balance is as follows: $3,301 1,270 Balance per bank, November 30 Add: Deposits outstanding Less: Checks outstanding +363 2365 +380 2381 2382 Adjusted balance per bank, fovember 30 $ 130 208 63 93 410 (904) $3,662 The company's general ledger checking account showed the following for December Balance, December 1 Receipts Disbursements Balance, December 31 $ 3,667 43,350 (42.553) $ 4,464 The December bank statement contained the following information: Balance, December 1 Deposits Checks processed Service charges NSP checks Balance, December 31 $ 3,301 43,700 (42,618) (29) (510) 3,844 The checks that were processed by the bank in December include all of the outstanding checks at the end of November except for check #365. In addition, there are some December checks that had not been processed by the bank by the end of the month. Also,

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