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Balance per bank $35 160 Add : Deposits in transit 4. 200 Deduct : Outstanding cheques .. (3 200) Balance per books $36 160 Month

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Balance per bank $35 160 Add : Deposits in transit 4. 200 Deduct : Outstanding cheques .. (3 200) Balance per books $36 160 Month of April Results Per Bank Per Books Balance April 30 ... $38 000 542 140 April deposits recorded .. 11 200 17.390 April cheques recorded 12.010 11. 320 Items on bank statement but not in books Note collected by bank . 5.500 Bank service charge 50 Customer's NSF cheque returned by the bank 1.800 structions Calculate the amount of the April 30 1 . Deposits in transit 2 . Outstanding cheques What is the April 30 adjusted cash balance ? Show all work

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