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Fred Knight operates a roller skating center, Rollerwond USA. He has just received the company's monthly bank statement at November 30 from Stonewall National

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Fred Knight operates a roller skating center, Rollerwond USA. He has just received the company's monthly bank statement at November 30 from Stonewall National Bank, and the statement shows an ending balance of $730 Listed on the statement are an EFT ent collection of $335, a service charge of $10, two NSF checks totaling 500, and an $11 charge for printed checks. In reviewing his cash records, Knight identifies outstanding checks totaling $612 and a November 30 post in transit of $1,800 During November, he recorded a $290 check for the salary of a part-time employee as $29 Knights Cash account shows a November 30 cash balance of $1,955 meds Read the Pp the Bank on, then the Book section of the bank reconciliation to determine how much cash Knight actually has at November 30. (Include the balances at November 30 in each of the anon autea cons. If an input field is

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