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Business, 06.12.2019 01:31 yolo123321

The bank statement reported an ending balance of $14,620 after deducting $220 in service charges and an addition of $4,500 for a note collected by the bank on the company's behalf. the company books reported an ending balance of $9,690, and determined that deposits in transit equal $5,600 and outstanding checks equal $6,250. what is the adjusted cash balance

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The bank statement reported an ending balance of $14,620 after deducting $220 in service charges and...

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