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22. Snickers Co. has the following information relating to its month-end reconciliation Month-end bank statement balance $ 54,000 Outstanding checks $ 18,000 Deposit-in-transit $ 600

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22. Snickers Co. has the following information relating to its month-end reconciliation Month-end bank statement balance $ 54,000 Outstanding checks $ 18,000 Deposit-in-transit $ 600 Check erroneously charged by the bank against the account $ 75 Bank Service Charge $ 25 ke 1/3 pense Payable The adjusted bank balance at month end is: a. $36,675. b. $71,325. c. $36,525. d. $35,475. Expense ed Depreci ense cant

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