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Given the following July data per books: 6/30 Balance $80 July Receipts $200 July Disbursements $250 7/31 Balance $30 Reconciling Items: 1. 7/31: Bank error,
Given the following July data per books: 6/30 Balance $80 July Receipts $200 July Disbursements $250 7/31 Balance $30 Reconciling Items: 1. 7/31: Bank error, disbursement for $7 recorded twice. 2. July NSF check of $9 was recorded by the bank as a disbursement and by the books as a negative receipt in July. 3. NSF check of $4 was recorded by the bank as a July disbursement and not recorded by the books until August. July Bank Disbursements are:
Select one:
a.
$261
b.
$277
c.
$256
d.
$266
e.
$270
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