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In preparing its bank reconciliation for April 2019, Sprigg Inc. provided the following information: Balance per bank statement, 4/30/19 $39,090 NSF check returned 450 5,000

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In preparing its bank reconciliation for April 2019, Sprigg Inc. provided the following information: Balance per bank statement, 4/30/19 $39,090 NSF check returned 450 5,000 50 Deposits in transit Error in recording check 101 (recorded $100; cleared bank at $150) Outstanding checks Bank service charges Balance per books, 4/30/19 5,200 20 39,410 What is the correct balance per books on April 30, 2019? O A $38,890 8. $39.990 OC $39,790 0.$38,940

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