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La siguiente informacin estaba disponible para el contador de Horton Company al preparar la conciliacin bancaria mensual: Saldo de efectivo por estado de cuenta bancario

La siguiente informacin estaba disponible para el contador de Horton Company al preparar la conciliacin bancaria mensual: Saldo de efectivo por estado de cuenta bancario $1,005

Saldo de caja por libros (antes de la conciliacin) 699

Cheque pendiente #643 532

Cheque pendiente #651 46

Cargos por servicios bancarios 28

Cheque de cliente devuelto por el banco como NSF 35

Depsitos en trnsito 220

Intereses recibidos del banco 11

La cantidad de efectivo que debe aparecer en el balance despus de la conciliacin y el ajuste de los registros contables es:

R. $284.

B. $647.

C$682.

D $ 699.

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