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Bank Reconciliation Review A June 30 bank reconciliation includes the following: 6/30 Balance in the general ledger for cash: $10,000 Outstanding checks of $2,500 Deposits
Bank Reconciliation Review A June 30 bank reconciliation includes the following: 6/30 Balance in the general ledger for cash: $10,000 Outstanding checks of $2,500 Deposits in transit of $1,000 Bank service charge of $50 A check for $250 had been incorrectly recorded as a disbursement of $150 The correct June 30 cash balance is: a. $9,350 b. $9,850 C. $10,050 d. $10,850 to add notes Notes 28: BOQ - - - 40% D. W- Business project paper PDF Looking-Out-Looking-In-15th-Edition-by-Ronald-Adler-and-Russell Bront
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