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please help with accounting..thank you Given the following October data per books: 9/30 balance $100 October receipts $40 October disbursements $30 10/31 balance $110 Reconciling

please help with accounting..thank you

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Given the following October data per books: 9/30 balance $100 October receipts $40 October disbursements $30 10/31 balance $110 Reconciling Items: 10/31 Deposit in transit $7 9/30 Outstanding checks $4 10/31 Collection by bank $2 The 10/31 balance per bank is: Select one: $105 $117 $119 $101 $115

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