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Oriole, Inc: had the following bank reconciliation at March 31, 2020: All reconciling items at March 31, 2020 cleared the bank in April. Outstanding checks

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Oriole, Inc: had the following bank reconciliation at March 31, 2020: All reconciling items at March 31, 2020 cleared the bank in April. Outstanding checks at April 30, 2020 totaled $5990. There were no deposits in transit at April 30, 2020. What is the cash balance per books at April 30, 2020? $27960$30960$26660$32650

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