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Before reconciling to its bank statement Montgomery Medals Corporation's general ledger had a month - end balance in the cash account of $ 5 ,

Before reconciling to its bank statement Montgomery Medals Corporation's general ledger had a month-end balance in the cash account of $5,250. The
bank reconciliation for the month contained the following items:
Given the above information, what adjusted cash balance should Montgomery Medals Corporation's report at month-end?

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