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13. O 14 O 15. O 16. O Designs on You The following information relates to the company's May bank reconciliation: $5,000 18. CO Unadjusted

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13. O 14 O 15. O 16. O Designs on You The following information relates to the company's May bank reconciliation: $5,000 18. CO Unadjusted cash balance from the company? records Deposit in transit Outstanding checks Bank service charges Interest earned on the bank account Customer's NSF check returned by the bank 1,000 500 20. O 22 O 10 23. O 25 In addition, a check was recorded in the accounting records as $1,200 but the correct amount as recorded by the bank was only $1,000, 25. O 26. O 27. O b.$5,500 Refer to Designs on You. What is the company's adjusted cash balance at May 1? O a $5,000 29. O Od $5,365 30. C pe here to search

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