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Question 4 (0.75 points) The accountant for ACME Inc. was preparing a bank reconciliation as of February 28, 2014. The following items were identified: ACME's
Question 4 (0.75 points) The accountant for ACME Inc. was preparing a bank reconciliation as of February 28, 2014. The following items were identified: ACME's book balance Outstanding checks Service charge Customer's NSF check returned by the bank $35,800 2,500 68 100 What amount will ACME report as its adjusted cash balance at February 28, 2014? Your
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