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Bramble Company gathered the following reconciling information in preparing its July bank reconciliation: Cash balance per books, 7/31 $21500 Deposits in transit 1150 Notes receivable

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Bramble Company gathered the following reconciling information in preparing its July bank reconciliation: Cash balance per books, 7/31 $21500 Deposits in transit 1150 Notes receivable and interest collected by bank 4310 Bank charge for check printing 70 Outstanding checks 7900 NSF check 700 The adjusted cash balance per books on July 31 is O $17140. O $26190. $18290 $25040

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