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Bank Recondition 960 Garrison Corporation was doing its books on May 31. Garnison's accountant prepared a bank reconciliation as of May 31 and has found

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Bank Recondition 960 Garrison Corporation was doing its books on May 31. Garnison's accountant prepared a bank reconciliation as of May 31 and has found the following possible recording Items between its book balance and its cash balance per the banket Garrison's book balance $18,690 Outstanding checks Customer's NSF check returned by the bank Interest eared on checking account In the search for reconciling items, the accountant also discovered that Garrison made an error in recording a customer's check the amount was recorded in cash recipes as $350; the bank recorded the amount correctly as $530. Required: 190 160 What amount will Garrison report as its adjusted cash balance at May 317 Feedback Check My Work Adjusting Journal entries are required for all transactions correctly recorded by the bank that have not yet been included in the accounting record

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