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ABC Company is unable to reconcile the bank balance at January 31. ABC's reconciliation is as follows: Cash balance per bank Add: NSF check .

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ABC Company is unable to reconcile the bank balance at January 31. ABC's reconciliation is as follows: Cash balance per bank Add: NSF check . $5,340 1,240 35 $6,545 Less: Bank service charge Adjusted balance per bank $5,815 850 Cash balance per books Less: Deposits in transit Add: Outstanding checks Adjusted balance per books 1,650 $6,615 Instructions The correct adjusted cash balance is

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