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Given the following information for How down garden Inc, determine the reconciled cash balance per books. 1 . Unadjusted balance per books at March 3

Given the following information for How down garden Inc, determine the reconciled cash balance per books.
1. Unadjusted balance per books at March 31, $9,700.
2. Outstanding cheques, $1,600.
3. NSF cheque returned with bank statement, $190.
4. Deposit placed in night deposit the evening of March 31(not on bank statement), $750.
5. Cheque printing charges $45.
6. Interest earned on chequing account, $100.

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