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majestico majestico
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6 years ago
Information to calculate the adjusted cash balance for Sue's Company is as follows:

Cash balance per general ledger   $2,100
Customer's check returnedNSF   75
Bank service charges   40
Deposits in transit   500
Outstanding checks   700
Customer's note collected by bank   645

A) $2,430
B) $2,230
C) $2,330
D) $2,630
Textbook 
College Accounting: A Practical Approach

College Accounting: A Practical Approach


Edition: 13th
Author:
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OmpaOmpa
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6 years ago
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