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In preparing its bank reconciliation at December 31, 2022, Granville Company had available the following data: Balance per bank statement, 31/12/22 $40,035 Deposit in transit,

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In preparing its bank reconciliation at December 31, 2022, Granville Company had available the following data: Balance per bank statement, 31/12/22 $40,035 Deposit in transit, 31/12/22 6,300 Outstanding cheques, 31/12/22 7,450 Amount erroneously credited by the bank to company's account, 28/12/22 200 Bank service charges for December 120 Granville Company's adjusted cash balance at December 31, 2022, is $38,685. $39,085. $26,085. $38,565

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