C
A Bicycle Company assembled the following information in reconciliation: completing its March bank
Balance per bank
Outstanding checks
Deposits in transit
NSF check
$
$
$
$
$
Bank service charges
Cash balance per $ books $
As a result of this reconcilo $
increase its cash account by $
reduce its cash account by $
reduce its cash account by $
reduce its cash account by $
C
A Bicycle Company assembled the following information in reconciliation: completing its March bank
Balance per bank
Outstanding checks
Deposits in transit
NSF check
$
$
$
$
$
Bank service charges
Cash balance per $ books $
As a result of this reconcilo $
increase its cash account by $
reduce its cash account by $
reduce its cash account by $
reduce its cash account by $