Identify which of the following reconciling items would require a journal entry to 1. Deposits in transit totaled $2,000.
2. A check written to the company for $415 by Cartography Company was returned NSF.
3. The bank charged the company $25 for printing checks.
4. Outstanding checks totaled $3,300
5. A debit memorandum reported an EFT of $178 to Salome Utilities
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