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In 2 0 2 2 , Grider Corporation had cash receipts of $ 5 6 , 0 0 0 and cash disbursements of $ 3

In 2022, Grider Corporation had cash receipts of $56,000 and cash disbursements of
$32,000. Grider's cash balance at December 31,2022 was $78,000. What was
Grider's January 1,2022 cash balance?
$110,000
$54,000
$70,000
$102,000
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