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Easton Co depoisits all cash receipts on the day they ane received and makes all cash payments by check At the close of business on

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Easton Co depoisits all cash receipts on the day they ane received and makes all cash payments by check At the close of business on June 30, its Cash account shows a debit balance of $64,209 Easton's June bank statement shows $61549 on deposit in the bank. Determine the adjusted cesh balance using the following information Deposit in transit Outstanding checks Check printing fee, not yet recorded by company Interest earned on account, not yet reconded by the company $5,000 2, 325 23 $ 38 The adjusted cash belance should be Mutiple Choce 64,16 4 247 506.549

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