Superman is unable to reconcile his bank balance on January 31. Your job is to...

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Accounting

Superman is unable to reconcile his bank balance on January 31. Your job is to prepare a corrected bank reconciliation (table is below). Finally please do the adjusted journal entries

Cash balance per bank: 5300

Add: NSF check 1570

Less: Bank service charge 35

Adjusted balance per bank 6835

Cash balance per books 5705

Less: deposits in transit 750

Add: Outstanding checks 1950

Adjusted balance per books 6905

Cash Balance Per Bank:
Adjusted Bank Balance:
Cash Balance Per Books:
Adusted Book Balance

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