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$3,250 in the cash balance box is wrong. did not mean for that to be there B Required information The following information applies to the

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$3,250 in the cash balance box is wrong. did not mean for that to be there
B Required information The following information applies to the questions displayed below.) The September 30 bank statement for Cadieux Company and the September lediget account for cash are summarized of 4 here HASTATEMENT Checks Deposits other - NSF check 590 $2,850 05:02 Balance, September 1 September September 11 September 12 September 12 September 26 September 29 September 10 101 5750 102 1,500 #103 2,250 Balance $1,900 1,010 4,660 2.910 2,310 60 185 125 EFT deposit Service charge 175 Balance Sep 1 Sep 10 Sep 30 750 Cash (A) 1,900 2,650 1,600 2.250 40 2,300 Sep 10 Sep is Sep 22 Sep 28 101 102 BIO 104 Sep 30 No outstanding checks and no deposits in transit were noted in August. However, there are deposits in transit and checks outstanding at the end of September. The NSF check and EFT Involved transactions with Cadieux Company's customers. 3. What should the balance in the Cosh account be after recording the journal entries in requirement 22 $ 3.250

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