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36- The bank portion of the bank reconciliation for Riyadh Company at October 31, 2019 was as follows: Book balance end of month 10,500 SR

36- The bank portion of the bank reconciliation for Riyadh Company at October 31, 2019 was as follows: Book balance end of month 10,500 SR Outstanding checks 3,550 SR Deposits in transit 4,000 Service charges 150 SR 250 SR Interest revenue What is the adjusted book balance on the bank reconciliation? A) 10,900 SR B) 10,950 SR C) 10,600 SR D) 10,100 SRimage text in transcribed

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