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1.The In preparing the bank reconciliation of Royal Company for the month of July, the following information is available: Balance per bank statement, 7/31P 54,075

1.The In preparing the bank reconciliation of Royal Company for the month of July, the following

information is available:

Balance per bank statement, 7/31P 54,075

Deposits in transit, 7/319,375

Outstanding checks, 7/318,625

Deposit erroneously recorded by bank to Royal account375

Bank service charge for July75

What is the correct cash balance at July 31?

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