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In preparing its bank reconciliation for the month of June 2011, Mazaya Company has available the following information Balance per bank statement (6/30/11) R.0.50,882: NSF
In preparing its bank reconciliation for the month of June 2011, Mazaya Company has available the following information Balance per bank statement (6/30/11) R.0.50,882: NSF check returned with (6/30/11) bank statement R.0.585. Deposits in transit (6/30/11) R.0.6,500; Outstanding checks (6/30/11) R0.6,760; Bank service charges for June R.O.26, Check charged by bankerroneously R.O.250. What should be the adjusted cash balance at June 30, 2011? Select one: a. R.O.50,261 b.R.0.50,287 C.R.O.50,872 d. R0.51,431
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