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Aconting-tiis Company's check stubs indicated a balance of P457.310 on June 30. This included a record of a deposit of P92.610 mailed to the bank

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Aconting-tiis Company's check stubs indicated a balance of P457.310 on June 30. This included a record of a deposit of P92.610 mailed to the bank on June 29, but not credited to the entity's account until July 1. In addition, the following checks were outstanding on June 30: Check No. 462 P 52,426 Check No. 465 21.341 Check No. 473 54,358 Check No.476 35,140 Check No. 477 19,745 The bank statement showed a balance of P541.900 as of June 30. The bank included a service charge on its June 30 statement with a date June 28 in the amount of P410. In matching the cancelled checks and record of deposits with the stubs. it was discovered that check no. 456, to Kakaianon Company, for P9,300 was erroneously recorded on the stub for P3,900. What is the amount of the adjusted cash balance

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