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QUESTION 6 Oxley Company gathered the following reconciling information in preparing its June Bank Reconciliation: Cash balance per General Ledger, June 30 $4,009 Deposits in

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QUESTION 6 Oxley Company gathered the following reconciling information in preparing its June Bank Reconciliation: Cash balance per General Ledger, June 30 $4,009 Deposits in Transit S602 Notes Receivable and Interest collected by bank $1,544 Bank Charge for check printing $39 Outstanding Checks S1.745 NSF Check SL 351 What is the Adjusted Cash Balance on June 302

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