Kittle Company's checkbook lists the following: :: (Click the icon to view the checkbook.) The...

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Kittle Company's checkbook lists the following: :: (Click the icon to view the checkbook.) The July bank statement shows: (Click the icon to view the July bank statement.) Requirement 1. Prepare Kittle's bank reconciliation at July 31, 2019. (Include the balances at July 31 in each of the addition subtotal calculations. If a box is not used in the table, leave the box empty; do not select a label or enter a zero. F. L. Kittle's Checkbook Bank statement Bank Reconciliation July 31, 2019 Bank: Date Check No. Item Check Deposit Balance Balance $ 520 Add: 7/1 $ 520 Add: Deposits 130 4 622 Two Sisters Catering $ 60 460 Debit Checks: No. Amount Less: 9 Dividends received $ 130 590 622 $ 60 Check No: 13 623 City Tire Co. 150 440 623 150 14 624 Jiffy Lube 56 384 624 65 * 18 625 Cash 40 344 625 40 (315) 26 626 American Diabetes Association 30 314 Other charges: NSF check 28 627 170 144 $ 50 Riverbend Apartments Payc 31 1,205 1,349 Service charge 15 270 Balance Print Done *This is the correct amount for check number 624. Print Done Choose from any list or enter any number in the input fields and then click Check Answer. part remaining I Clear All Check

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