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Rainy Sky Corporation gathered the following reconciling information in preparing its July bank reconciliation: Cash balance per bank, July 31 $18,200 Note receivable collected by

Rainy Sky Corporation gathered the following reconciling information in preparing its July bank reconciliation:

Cash balance per bank, July 31 $18,200

Note receivable collected by bank 4,500

Outstanding cheques 10,825

Deposit in transit 6,700

Bank service charge 40

NSF cheque 750

The reconciled cash balance per bank at July 31 is

Select one:

a.

$18,575

b.

$9,575

c.

$17,785

d.

$14,075

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