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At July 31. Oriole Company has the following bank information: cash balance per bank $8.250, outstanding checks $692, deposits in transit $1.511, and a bnk

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At July 31. Oriole Company has the following bank information: cash balance per bank $8.250, outstanding checks $692, deposits in transit $1.511, and a bnk service charge $30. Determine the adjusted cash balance per bank at July 31. Adjusted cash balance per bank $ At August 31, Bramble Company has a cash balance per books of $7.850 and the following additional data from the bank statement: charge for printing Bramble Company checks $36, interest earned on checking account balance $61, and outstanding checks $880 Determine the adjusted cash balance per books at August 31 Adjusted cash balance per books Textbook and Media

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