Prepare a bank reconciliation for XYZ company at September 30 using the followin
Prepare a bank reconciliation for XYZ company at September 30 using the following information:Balance per XYZ Company Bank statement at September 30 $7351.10Outstanding checks $5645.45NSF checks from customer $444.22Deposits in transit $7135.46Interest revenue $100.00Service Charge $230.30Cash balance per XYZs records at September 30 $9415.63
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