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Question 19 point) The following mation was available to you when preparing a monthly bank reconciliation: Balance per bank at the end of the month

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Question 19 point) The following mation was available to you when preparing a monthly bank reconciliation: Balance per bank at the end of the month $15000 NSF che truturted during the mouth 8000 Outstanding cheques at the end of the month $3000 Deposit in transit at the end of the month $16000 Bank service charges during the month 5300 Bank error $9000 The bank error telates to a cheque that was incorrectly recorded by the bank during the months. The bank will increase the account by this amount next month to correct this error. What is the correct adjusted bank balance at the end of the mouth? Your

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