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ad Russel Company assembled the following information in completing its March bank reconciliation: Balance per bank $19,100 Outstanding checks $3,875 Deposits in transit $6,250 NSF

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ad Russel Company assembled the following information in completing its March bank reconciliation: Balance per bank $19,100 Outstanding checks $3,875 Deposits in transit $6,250 NSF check $400 Bank service charges Cash balance per books $22,000 How much will the cash account change as a result of this reconciliation? Cash will by I $125

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