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on 4 A bank statement shows a balance of $8.445 at June 30. The bank reconciliation is prepared and includes outstanding checks of $2.790, deposits

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on 4 A bank statement shows a balance of $8.445 at June 30. The bank reconciliation is prepared and includes outstanding checks of $2.790, deposits in transit of $1,350, and a bank service charge of $30. Among the paid checks returned by the bank was check no. 900 in the amount of $600, which the company had erroneously recorded in the accounting records as $60. The adjusted cash balance at June 30 is: out of Select one a $6.975 ob: $6,465 $7,005 Od $7,575

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