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Mason Company gathered the following information from its accounting records and the October bank statement to prepare the October bank reconciliation: Ending cash balance per

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Mason Company gathered the following information from its accounting records and the October bank statement to prepare the October bank reconciliation: Ending cash balance per books, 10/31 Deposits in transit nterest received from bank Bank service charge for check printing Outstanding checks NSF check of T. Owens $5,000 450 1600 180 3,500 250 The up-to-date ending cash balance on October 31s: Multiple Choice $5.920 $6,170 o $4,670 $4,020

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