Hills Company’s June 30 bank statement and the June ledger account for cash are summarized here:
Required:
Prepare a bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $300. Some of the checks that cleared in June were written prior to June. No deposits in transit were noted in May, but a deposit is in transit at the end of June.
How would i fill out the bank reconcilliation for this problem?
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