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following information was provided by ABC Inc. in preparing its current month's bank reconciliation:Balance per bank statements, 9 / 3 0 / 2 0 2

following information was provided by ABC Inc. in preparing its current month's bank reconciliation:Balance per bank statements, 9/30/2021-P2,000,000Outstanding checks (with certified check of P100,000)-400,000-(300,5g)Deposit placed in the bank's night depository on September 30-600,000Bank service charge -10,000Proceeds of bank loan not recorded by ABC -100,000 Customer's check charged by the bank due to lack of counter signature -20,000Amount erroneously credited by bank to ABC account -50,000)A supplier check for P10,000 was incorrectly recorded by ABC as P100,000 Notes collected by the bank for ABC.-1,50,000A customer check for P150,000 was incorrectly recorded by ABC as - P15,000NSF checks not recorded on books nor redeposited - P25,000Check of EBC charged by the bank to ABC Inc -60,000Deposit of ABC Inc credited by the bank to AEBC Inc. -100,000 Check issued by ABC Inc. charged by the bank to ABCE Corp -140,00%23. How much is the adjusted cash in bank balance for the month of September?

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