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Bank Reconciliation Report for My Business, dated April 30th, detailing outstanding withdrawals and deposits to calculate the expected bank statement balance.

Bank Reconciliation Report form showing outstanding withdrawals and deposits, with a closing cash book balance of $153.50, adding $127.00 for outstanding withdrawals, subtracting $54.00 for outstanding deposits, resulting in an expected bank statement balance of $226.50.

Bank Reconciliation Report form showing outstanding withdrawals and deposits, with a closing cash book balance of $153.50, adding $127.00 for outstanding withdrawals, subtracting $54.00 for outstanding deposits, resulting in an expected bank statement balance of $226.50.

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