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In preparing its June 30, 2014 bank reconciliation, Huang Company has the following information available: Balance per books $957,500 Note was collected by bank 102.400

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In preparing its June 30, 2014 bank reconciliation, Huang Company has the following information available: Balance per books $957,500 Note was collected by bank 102.400 NSF checks 170,200 Deposits in transit 111,250 The adjusted cash balance per books at June 30, 2014 is Select one: 0 a $1.068,750 b $1 136,550 c. $889 700 d. $1025 300

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