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Food City had the following bank reconciliation information on March 31: balance per books March 31 = $6,000 balance per bank March 31 = 7,000
Food City had the following bank reconciliation information on March 31: balance per books March 31 = $6,000 balance per bank March 31 = 7,000 (1) deposit in transit dated March 30 = 4,000 (2) March outstanding checks = 900 (3) during March bank collected a note receivable for Food City of 4,000 plus interest revenue of 150. (4) service charge by bank for month = 50 The adjusted balance per bank at March 31 is Select one: a. 9,100 b. 10,050 c. 7,000 d. 10,100
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