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Pelcher Co. mantiene un fondo de caja chica de $450. El 31 de enero, el fondo se repone. Los recibos acumulados a esa fecha representan

Pelcher Co. mantiene un fondo de caja chica de $450. El 31 de enero, el fondo se repone. Los recibos acumulados a esa fecha representan $120 para suministros de oficina, $160 para inventario de mercancas y $80 para gastos varios. Hay un exceso de efectivo de $12. Con base en esta informacin, la cantidad de efectivo en el fondo antes de la reposicin es:

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