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Egrane, Incorporated's monthly bank statement showed the ending balance of cash of $ 1 9 , 9 0 0 . The bank reconciliation for the

Egrane, Incorporated's monthly bank statement showed the ending balance of cash of $19,900. The bank reconciliation for the period showed an adjustment for a deposit in transit of $2,200, outstanding checks of $3,400, an NSF check of $2,100, bank service charges of $100 and the EFT from a customer in payment of the customer's account of $2,900.
What is the up-to-date ending Cash balance?
Multiple Choice
$18,000
$18,700
$21,100
$23,600
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