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On December 31, Simmons Company's bank statement had a balance of $31,300. Analysis of the bank statement and comparison of the statement and records indicated
On December 31, Simmons Company's bank statement had a balance of $31,300. Analysis of the bank statement and comparison of the statement and records indicated the following $2,870 6,370 30 1,390 4,070 220 checks at the end of D Customer's retursed check, NS of sote on our behalf In reviewing the records, Simmons Company also discovered the following error: A check for $280 in legal expense was incorrectly recorded on the books as $820 Required: Compute the adjusted balance of Cash per bank statement of Cash Clear Undo
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