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Marigold Corporation gathered the following reconciling information in preparing its August bank reconciliation: $18100 Cash balance per bank, August 31 Note receivable collected by bank

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Marigold Corporation gathered the following reconciling information in preparing its August bank reconciliation: $18100 Cash balance per bank, August 31 Note receivable collected by bank Outstanding cheques Deposit in transit Bank service charge NSF cheque 4500 10865 6300 55 600 The reconciled cash balance per bank August 31 is O a. 513.535 O b.518,035 OC. $9,035 O d. 517,380

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