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aston Co. deposits all cash receipts on the day they are received and makes all cash payments by check. At the ose of business on
aston Co. deposits all cash receipts on the day they are received and makes all cash payments by check. At the ose of business on June 30, its Cash account shows a debit balance of $70,709. Easton's June bank statement hows a $66,749 balance in the bank. Determine the adjusted cash balance using the following information: Deposit in transit Outstanding checks. Check printing fee, not yet recorded by company Interest earned, not yet recorded by the company The adjusted cash balance should be: Multiple Choice $70,673 Proy 14 of 11 $6,950 $2,975 $ 36 51 Activate Windows Go to Settings to activate Winc
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