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Sheridan company gathered the following reconciling information in preparing its June bank reconciliation: Cash balance per books, 6/30 $ 13900 Deposits in transit 1000 Notes

Sheridan company gathered the following reconciling information in preparing its June bank reconciliation:


Cash balance per books, 6/30
$13900
Deposits in transit
1000
Notes receivable and interest collected by bank
2440
Bank charge for check printing
85
Outstanding checks
5000
NSF check
460

The adjusted cash balance per books on June 30 is


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