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Jonas Company gathered the following reconciling information in preparing its April bank reconciliation Cash balance per books, 4/30 $2,200 Deposits in transit 300 Notes receivable

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Jonas Company gathered the following reconciling information in preparing its April bank reconciliation Cash balance per books, 4/30 $2,200 Deposits in transit 300 Notes receivable and interest collected by bank 740 Bank charge for printing checks Outstanding checks 1,500 NSF check The adjusted cash balance per books on April 30 is 25 140 O A. $2,775 B. $2.940 C. $3,055 OD. $3,075

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