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Dobler Company gathered the following reconciling information in preparing its June bank reconciliation: Cash balance per books, 6/30 Deposits in transit Notes receivable and interest

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Dobler Company gathered the following reconciling information in preparing its June bank reconciliation: 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 $12,600 900 2.220 75 4,500 420 The adjusted cash balance per books on June 30 is $15,225. $14.820. $14,325. $15,165. Question 15 (1 point) When two or more people get together for the purpose of circumventing prescribed controls, it is called a fraud committee. collusion a division of duties. bonding of employees. Question 16 (1 point) The use of prenumbered checks is an example of documentation procedures. independent internal verification establishment of responsibility. segregation of duties

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