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Information for the DineFine Restaurant for November 30, 2019, is presented below. Enter the amounts into questions 110 on Webcourses. a. Balance of cash per

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Information for the DineFine Restaurant for November 30, 2019, is presented below. Enter the amounts into questions 110 on Webcourses. a. Balance of cash per books on November 30, 2019 is $1,543.86. b. Balance per bank statement on November 30, 2019 is $1,492.96. c. The November 30 cash receipts of $382.50 were placed in the drop box at the local bank at 11:00 P.M. on November 30. d. Bank services charges amounted to $14 for printing new checks. e. The outstanding checks at November 30 were: #864,$232.50;#868,$12.75;#869,$122.17. f. An NSF check in the amount of $25 was returned by the bank. g. Interest earned for the month equals $3.18. Balance per bank statement, November 30, 2019 Add: Deposit in transit: November 30 Deduct: Outstanding checks: As of November 30 Adjusted bank balance

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