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In 2022, Sheffield Corp. had cash receipts of $59360 and cash disbursements of $33920. Sheffield's cash balance at December 31, 2022 was $82680. What was

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In 2022, Sheffield Corp. had cash receipts of $59360 and cash disbursements of $33920. Sheffield's cash balance at December 31, 2022 was $82680. What was Sheffield's January 1, 2022 cash balance O $74200 $57240 O $116600 O $100120

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