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How is a customer's NSF check reflected on a bank reconciliation? Subtracted from the unadjusted bank balance to get the true cash balance Subtracted from

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How is a customer's NSF check reflected on a bank reconciliation? Subtracted from the unadjusted bank balance to get the true cash balance Subtracted from the unadjusted book balance to get the true cash balance Added to the unadjusted bank balance to get the true cash balance Added to the unadjusted book balance to get the true cash balance Duke Company's unadjusted bank balance at March 31 is $3850. The bank reconciliation revealed outstanding chocks amounting to $580 and deposits in transit of $460. What is the true cash balance? $3850 $3390 $3730 $4310

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