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32 ) You just joined * YZ Company as their junior accountant . I our first task is to prepare a bank* reconciliation in good

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32 ) You just joined * YZ Company as their junior accountant . I our first task is to prepare a bank* reconciliation in good form at June 30 . Your boss provides you with the bank statement and the following information from the accounting records at June 30 Non - sufficient funds ( N SF ) cheque returned by bank $350 Deposit in transit on June 30 $1. 015 Outstanding cheques at June 30 $2 , 660 Balance per bank statement on June 30 $16. 280 Bank service charges $35 Four review the bank statement at June 30 shows that a cheque incorrectly recorded by company as $2. 500 was correctly recorded by the bank at $ 2. 050 . What is the unadjusted ( opening ) balance of cash in * IZ's general ledger on June 30 ? A ) $1 4 , 570 . B ) $1 4 , 285 . C ) $16 , 703 . D ) $15 , 470 . E ) $16 , 470

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