PROBLEM 2 - Worth SIXTEEN (16) points The April 30, 2017, The cash balance per...

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PROBLEM 2 - Worth SIXTEEN (16) points The April 30, 2017, The cash balance per books was $2,400. The bank balance per bank statement was S6.200. Outstanding checks amounted to $850, and deposits in transit wer nent contained an NSF check for $550, and a service charge for $25. Required a) Prepare a bank reconciliation to determine the true cash balance at (Hint: you will need to derive true cash balance unadjusted book balance). April 30. from both unadjusted bank balance and t any necessary journal entries

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