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Damon Company recelves its monthly bank statement, which reports a balance of $1,900. After comparing this to the company's cash records, Damon's accountants determine that

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Damon Company recelves its monthly bank statement, which reports a balance of $1,900. After comparing this to the company's cash records, Damon's accountants determine that deposits outstanding total $3,800 and checks outstanding total 54,050 Required: Calculate the reconciled bank balance for cash. Bourne Incorporated reports a cash balance at the end of the month of $2.570. A comparison of the company's cash records with the monthly bank statement reveals several additional cash transactions: bank service fees ( $83 ), an NSF check from a customer ($330), a customer's note receivable collected by the bank ($1,200), and interest earned ($33). Required: Calculate the reconciled company balance for cash

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