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From the following information, what is the adjusted balance per bank statement for the bank reconciliation statement for Everest Ltd for 31 July. 1. The

From the following information, what is the adjusted balance per bank statement for the bank reconciliation statement for Everest Ltd for 31 July. 1. The bank statement balance is $2,306. 2. The cash account balance is $2,930 3. Outstanding cheques totalled $585. 4. Outstanding deposit $1,175. 5. The bank service charge is $25. 6. A cheque for $98 for supplies was recorded as $89 in the ledger. a. $2 306 b. $2 930 c. $1 175 d. $2 896 e. $3 481

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