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Jamison Company developed the following reconciling information in preparing its June bank reconciliation: Cash balance per bank, 6/30 Note receivable collected by bank Outstanding checks

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Jamison Company developed the following reconciling information in preparing its June bank reconciliation: Cash balance per bank, 6/30 Note receivable collected by bank Outstanding checks Deposits-in-transit Bank service charge NSF chechk Using the above information, determine the cash balance per books (before adjustments) for Jamison Company $10,580 7,192 5,271 3,017 159 1,437 $13,922 $2,730 O$16,176 $8,326

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