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Garraules Company provided the following information in relation to the bank account: Balance per bank statement on july 31 6,200,000 Balance per ledger, July 31
Garraules Company provided the following information in relation to the bank account:
Balance per bank statement on july 31 | 6,200,000 |
Balance per ledger, July 31 | 3,750,000 |
Deposit of Jult 30 not recorded by bank | 1,400,000 |
Debit memo - service charge | 50,000 |
Credit memo - collection of note by bank for garrulous | 1,500,000 |
Outstanding checks | ? |
Check for purchases of supplies was drawn for 300,000 but was recorded as 200,000 The management wrote a check for traveling expenses of 500,000 while out of town. The check was not recorded What is the amount of ourstanding checks on July 31? a. 4,600,000 b. 2,500,000 c. 2,800,000 d. 3,000,000
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