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Given the following information what is the adjusted balance on the bank side of the bank reconciliation Bank statement reported a balance of $19.135 on

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Given the following information what is the adjusted balance on the bank side of the bank reconciliation Bank statement reported a balance of $19.135 on June 30th There were two outstanding checks writen for $109 and 5107 There was one deposit outstanding worth $1.095 One check written for $338 and delivered to the utility company had been incorrectly recorded as 5383 by the company

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