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52 Before the bank reconciliation, the balance in Storage Company's cash records was $8.960 After examining the August bank statement and items included with it,
52 Before the bank reconciliation, the balance in Storage Company's cash records was $8.960 After examining the August bank statement and items included with it, the company's accountant found Checks outstanding NSF check $1,200 42 Note collected by bank from Mr. Smith for Storage Co 360 Deposits outstanding 540 Bank service fees 20 What is the amount of cash that should be reported in the balance sheet? O $9,342 O $9,258 $8,210 O $8,508
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