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Question 32 2 pts Savannah Company gathered the following reconciling information in preparing its October bank reconciliation. Determine the adjusted balance on October 31. Balance

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Question 32 2 pts Savannah Company gathered the following reconciling information in preparing its October bank reconciliation. Determine the adjusted balance on October 31. Balance per bank Balance per company records Bank service charges Deposit in transit NSF check Outstanding checks $16,750 16,125 80 2,195 950 3,850 $15,095 $14.470 $15.720 $10.705 LTI Next * Previous - a m MAN 28 2

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