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15 22 In preparing its August 31, 2016 bank reconciliation, Oakley Corp. has available the following information: Balance per bank statement, 8/31/16 $65,490 Deposit in

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15 22 In preparing its August 31, 2016 bank reconciliation, Oakley Corp. has available the following information: Balance per bank statement, 8/31/16 $65,490 Deposit in transit, 8/31/16 10,170 Return of customer's check not sufficient funds, 8/30/16 1.800 Outstanding checks, 8/31/16 5,820 Bank service charges-fod August 350 At August 31, 2016, Oakley's adjusted cash balance is eshon 29 Finish

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