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Question 12 Not yet answered A business is preparing its month end bank reconciliation. You are given the following information: Cash per books, $3,900; Cash

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Question 12 Not yet answered A business is preparing its month end bank reconciliation. You are given the following information: Cash per books, $3,900; Cash for bank, $4,700; Outstanding cheques, $2,300; EFT collections by bank $960; Debit card charges, $130, NSF cheque, $430; and Deposits in transit. $175. Calculate the adjusted cash balance per books at month end (dollars, no comma or dollar signs, e.g. 3520): Marked out of 1.00 Flag

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