Using the following information, prepare a bank reconcilation for Wildhorse Company for July 31.2022. 3....

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Using the following information, prepare a bank reconcilation for Wildhorse Company for July 31.2022. 3. The bank statement balance is $3,500. b. The cash account balance is $3,990. c. Outstanding checks totaled \$1,280. d. Deposits in transit are $1,690. e. The bank service charge is $53. t. Acheck for $96 for supplies was recorded as $69 in the ledger. Cash Balance Per Bank Deposit in Transit Outstanding Checks Adjusted Cash Balance Per Bank Cash Balance Per Books. Bank Service Charge Adjusted Cash Balance Per Bank

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