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13.GNs Oct 31, 2022 bank statement showed a balance of $6,135 and cash in the general ledger showed a balance of $6,876. In preparing the

13.GNs Oct 31, 2022 bank statement showed a balance of $6,135 and cash in the general ledger showed a balance of $6,876. In preparing the bank reconciliation, the following information was determined: Cheque #255 for $3,200 from October had not yet cleared from the bank account. A deposit of $3,100 was correctly recorded in the books, but it showed as $13.00 on the bank statement. Cheque #221 issued by Orange in the amount of $1,100, for the payment of both the bank loan and 10% of interest, had been incorrectly recorded in the books as $11.00. A $840 payment on account received from a customer was incorrectly recorded in the books of Orange as $480. An NSF cheque was returned, but the amount was illegible in the bank statement. Which of the following statements is correct?

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The amount of the NSF cheque was $101. The amount of the NSF cheque was $125. The amount of the NSF cheque was $250. The amount of the NSF cheque was $729

The amount of the NSF cheque was $1,357.

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