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Creek's March 31 bank statement balance was $141,000. As of March 31, deposits in transit total $30,500 and the cash balance was $126,500. Assuming there

Creek's March 31 bank statement balance was $141,000. As of March 31, deposits in transit total $30,500 and the cash balance was $126,500. Assuming there are no other reconciling items, what was the amount of outstanding checks on March 31? $45,000. $96,000. $12,000. $16,000. $91,500

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