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3. The Tanner Company's April 30, 2016 pre-reconciliation cash balance on its books was $35,000. While preparing the April 30 bank reconciliation, Tanner determined that

3. The Tanner Company's April 30, 2016 pre-reconciliation cash balance on its books was $35,000. While preparing the April 30 bank reconciliation, Tanner determined that outstanding checks total $11,000, deposits in transit total $7,000, and bank service charges are $50. What was Tanner's April 30, 2016 cash balance per the bank statement

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