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In preparing its bank reconciliation for the month of April 2014. Henke, Inc. has the following information available. Balance per Book, 4/30/14 $34,410 NSF check

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In preparing its bank reconciliation for the month of April 2014. Henke, Inc. has the following information available. Balance per Book, 4/30/14 $34,410 NSF check returned with 4/30/14 bank statement 450 Deposits in transit, 4/30/14 3,800 Outstanding checks, 4/30/14 4,000 Bank service charges for April 20 What should be the correct balance of cash at April 30, 2014? O A $33,940 OB. $33,490 C. $33,470 OD. $34,370

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