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On December 31, Murphy Company's Cash account had a balance of $34,040, and the balance per bank statement was $26,320 Analysis of the bank statement
On December 31, Murphy Company's Cash account had a balance of $34,040, and the balance per bank statement was $26,320 Analysis of the bank statement and comparison of the statement and records indicated the following 5,550 25 1,160 6,880 180 of note os our behalf In reviewing the records, Murphy Company also discovered the following error A Koala Company check of $1,270 was charged to Murphy Company's account Required: Compute the adjusted balance of Cash per books Adjusted balance of Cash Clear Undo H
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