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QUESTION 24 The Baskin Wildlife Refuge gathered the following reconciling information in preparing its March bank reconciliation Cash Balance per books, 3/31 $25,000 Deposits in
QUESTION 24 The Baskin Wildlife Refuge gathered the following reconciling information in preparing its March bank reconciliation Cash Balance per books, 3/31 $25,000 Deposits in transit Notes receivable Bank overdraft charge $1,200 $19,000 $35 $9,500 $1440 Outstanding checks NSF check The adjusted cash balance per books on March 31 is? $42.525 O $28,540 O s29.525 0 $40,060
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