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2 in the process of reconciling its bank statement for January. Max's Clothing's accountant comples the following information ash balance per compeny books on Jenuary
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in the process of reconciling its bank statement for January. Max's Clothing's accountant comples the following information ash balance per compeny books on Jenuary 30 at month-end $5,125 checks at month-end k service charges $29 $460 $305 utomatically paid monthly, not yet recorded by Maxi NSF check returned on e customer accou The adjusted cash balance per the books on January 31 Is O $5167 O $4.331 O $5.309 O $6.211 O $5.651 Type here to search Step by Step Solution
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