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Current Attempt in Progress Your answer is incorrect. Given the following information, determine the adjusted cash balance per books; Balance per books as of June

Current Attempt in Progress Your answer is incorrect. Given the following information, determine the adjusted cash balance per books; Balance per books as of June 30 $9,000 Outstanding checks $680 NSF check returned with bank statement $270 Deposit mailed the afternoon of June 30 $590 Check printing charges $40 Interest earned on checking account $70 Adjusted cash balance per books $

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