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CT202 Gr.02) JUT OR 3. The following information is given for reconciliation as of March 31: a. Unadjusted balance per bank statement as of March
CT202 Gr.02) JUT OR 3. The following information is given for reconciliation as of March 31: a. Unadjusted balance per bank statement as of March 31, $17,735.44 b. Unadjusted balance per company records as of March 31, 12,511.94 C. Deposit in transit, $2,254.81 d. A check issued by the company does not appear in the bank statement, $7,498.16 e. Service charge, $19.85 What is adjusted balance per bank statement as of March 31? (3 Points) $12.492.09 $23,091.16 $12.192.09 None of the above 4. As of December 31, 2019 the "Accounts Receivables" have a debit balance of $200,000. The u hand has a credit balance of $16,000 before
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