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The bank statement of Ali Co. indicated a current balance of $32,900.10. The current checkbook balance

indicated a balance of $34,509.11. In the reconciliation process a deposit in transit for $6,821.11 was!

discovered. Check number 600 for $3,988.33 was outstanding. The statement also revealed an NSF of $110.11

along with interest earned by Ali of $1,333.88. The reconciled balance is:

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  1. 20 April, 14:23
    0
    The reconciled balance = 32900.10 which tallies with bank balance.

    Step-by-step explanation:

    Given that the bank statement of Ali Co. indicated a current balance of $32,900.10

    But the cheque book balance is only 34509.11

    We do reconciliation as follows:

    Cheque book balance 34509.11

    Less: Deposit in transit not cr. 6821.11

    Net balance 27688.00

    Add: cheque no 600 not presented 3988.33

    31676.33

    Add: Interest earned by Ali 1333.88

    Less: NSF 110.11

    Balance as per bank 32900.10

    The reconciled balance = 32900.10 which tallies with bank balance.
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