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ment Question 36 Stardust Corporation gathered the following reconciling information in preparing its October bank reconciliation: Cash balance per books, October 31 $6,200 Deposits in

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ment Question 36 Stardust Corporation gathered the following reconciling information in preparing its October bank reconciliation: Cash balance per books, October 31 $6,200 Deposits in transit 225 Electronic collection of account receivable 1,150 Bank charge for cheque printing 25 Outstanding cheques 1,700 NSF cheque 200 The reconciled cash balance per books at October 31 is $7,125 N O $5,650. O $6,900. O $5,200. Question Atten

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