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Derek Company reuni la siguiente informacin de conciliacin al preparar su conciliacin bancaria de septiembre: Saldo de caja por libros, 9/30 $2,750 Depsitos en trnsito

Derek Company reuni la siguiente informacin de conciliacin al preparar su conciliacin bancaria de septiembre: Saldo de caja por libros, 9/30 $2,750 Depsitos en trnsito 200 Documentos por cobrar e intereses cobrados por el banco 630 Cargo bancario por impresin de cheques 30 Cheques pendientes 1,250 Cheque NSF 190 El efectivo ajustado el saldo en libros al 30 de septiembre es a. $5,050. b. $2,110. C. $1,910. d. $3,160.

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