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136-001 Spri... h Hulu | Home Netflix Apply for Financia Cengage VitalSource Books... Spider-Man: No W... Thompson Company gathered the following reconciling information in

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136-001 Spri... h Hulu | Home Netflix Apply for Financia Cengage VitalSource Books... Spider-Man: No W... Thompson Company gathered the following reconciling information in preparing its October bank reconciliation. Cash balance per bank, October 31 Note receivable collected by bank Outstanding checks Deposits in transit Bank service charge NSF check $14,339 4,112 7,484 3,104 130 1,033 Determine the cash balance per company records (before adjustment) on October 31. Oa. $24,927 Ob. $7,010 Oc. $9.959 Od. $12.908

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