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Maroon, Inc. received its bank statement from Second National Bank for the month ending Oct. 31, 2019. Per the bank statement the balance in Maroons

Maroon, Inc. received its bank statement from Second National Bank for the month ending Oct. 31, 2019. Per the bank statement the balance in Maroons account totaled $8,875. The accountants for Maroon noted that the following items needed to be reconciled: A check written by Maroon for $311, was posted in their General Ledger as $11. Checks written by Maroon that have not yet cleared the bank amounted to $1,618. A deposit of $52 made by the Macaroni Company was credited to the bank account of Maroon, Inc. The bank issued Maroon a debit memo for bank service charges for the month totaling $35. Maroon deposited a check into their bank account at 3:15 p.m. on Oct. 31, 2019 after the bank had already cut-off activity to prepare the bank statement. The deposit totaled $520. During the month of October, Maroon received interest on its checking account of $10. The bank statement included overdraft charges of $98. Determine the balance in Maroons General Ledger prior to the reconciliation.

A. $8,182 B. $7,478 C. $8,078 D. $8,148 E. $8,252

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