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1.In preparing its August 31, 2017 bank reconciliation, Energy Corp. has made available the following information: Balance per bank statement,August 31 54,150 Deposit in transit9,750

1.In preparing its August 31, 2017 bank reconciliation, Energy Corp. has made available the following

information:

Balance per bank statement,August 31 54,150

Deposit in transit9,750

Return of customer's check for insufficient funds 1,800

Outstanding checks8,250

Bank service charges for August300

At August 31, 2017 , Energy's correct cash balance is -

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