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amison Company gathered the following reconciling information in preparing its June bank reconciliation: Line Item Description Amount Cash balance per bank, June 3 0 $

amison Company gathered the following reconciling information in preparing its June bank reconciliation:
Line Item Description Amount
Cash balance per bank, June 30 $13,000
Note receivable collected by bank 4,000
Outstanding checks 7,000
Deposits in transit 2,500
Bank service charge 35
NSF check 1,900
Determine the cash balance per the companys records (before adjustments).
a. $8,065
b. $10,565
c. $15,065
d. $6,435

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