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Information to calculate the adjusted cash balance for Chris's Company is as follows: Cash balance per general ledger $2,300 Customer's check returned-NSF Bank service charges

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Information to calculate the adjusted cash balance for Chris's Company is as follows: Cash balance per general ledger $2,300 Customer's check returned-NSF Bank service charges Deposits in transit 500 Outstanding checks 700 Customer's note collected by bank 610 O A. $3,490 O B. $2,790 O C. $2,480 O D. $2,590

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