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Cullumber company gathered the following reconciling information in preparing its June bank reconciliation: $9800 700 1730 Cash balance per books, 6/30 Deposits in transit Notes
Cullumber company gathered the following reconciling information in preparing its June bank reconciliation: $9800 700 1730 Cash balance per books, 6/30 Deposits in transit Notes receivable and interest collected by bank Bank charge for check printing Outstanding checks NSF check 60 3500 330 The adjusted cash balance per books on June 30 is O $11140. $11530. O $11840. O $11800
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