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15. Hannah Corp.'s ending cash balance is $1000 before adjusting items. The only adjustments were: $50 service charge NSF check for $350 $450 deposit
15. Hannah Corp.'s ending cash balance is $1000 before adjusting items. The only adjustments were: $50 service charge NSF check for $350 $450 deposit in transit Outstanding Check totaling $850 What was Hannah's unadjusted bank balance on the bank statement? Hint: Cash and Bank have to each other CASH Ending Balance Service Charge NSF Adjusted Balance Ending Balance Deposits in Transit Outstanding Checks Adjusted Balance Bank $? (what we are finding)
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