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4:16 . LTE O Question 3 Numeric Bank Reconciliation 3 Fred Root operates a roller skating center, Turn and Spin USA. He has just received

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4:16 . LTE O Question 3 Numeric Bank Reconciliation 3 Fred Root operates a roller skating center, Turn and Spin USA. He has just received the company's monthly bank statement at anuary 31 from White National Bank, and the statement shows an ending balance of $735. Usted on the statement are an EFT collection from Root customer of $330, a service charge of $10, two NSF checks totaling $70, and an $11 charge for printed checks. In reviewing his cash records, Root identifies outstanding checks totaling 5614 and a January 31 deposit in transit of $1,780. During January, he recorded a $260 check for the salary of a part-time employee as $26. Root's Cash account shows a lanuary 31 cash balance of $1,896. What is the total required adjustment to Root's cash balance? Numeric

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