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intermediate accounting ll Given the following April data per bank: 3/31 balance $100 April receipts $40 Aprid disbursements $30 4/30 balance 5110 Reconciling items: 1.
intermediate accounting ll
Given the following April data per bank: 3/31 balance $100 April receipts $40 Aprid disbursements $30 4/30 balance 5110 Reconciling items: 1. 4/30 Deposit in transit 57 2.3/31 Outstanding checks $4 3, 3/31 Collection by bank $2 April Receipts per books were: Select one: a. $39 b. $49 c. $35 d. $45 e. $31 Step by Step Solution
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