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*ABC Company deposits all of its cash receipts and makes all payments by using check. The following information is available from the company's cash records:

*"ABC" Company deposits all of its cash receipts and makes all payments by using check. The following information is available from the company's cash records: MARCH 31 BANK RECONCILIATION Balance per bank $240,714 Deposits in transit$18,900 Outstanding checks$34,200 The month of April Results Balance April 30 April deposits per bankis 251955 and per books is 259695 April checks per bankis 97056 and per books is 125001 April note collected (not included in April deposits) per bankis 27000 April bank service charge per bank is 315 April NSF check of a customer returned by the bank 8100 Based on the above-given information, answer the following questions: What is the April 30 adjusted cash balance

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