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In preparing its bank reconciliation for the month of February, Jesse Company has available the following information: Balance per bank statement, February 28 $20,025 Deposit

In preparing its bank reconciliation for the month of February, Jesse Company has

available the following information:

Balance per bank statement, February 28

$20,025

Deposit in transit, February 28

3,125

Outstanding checks, February 28

2,875

Check erroneously deducted by bank from Jesse's account, February 10

25

Bank service charges for February

25

What is the corrected cash balance at February 28?

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