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Rich Company's unadjusted book balance at October 31, 2014 is exist2, 550. The following information is available for the bank reconciliation. Outstanding checks, exist600 Deposits

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Rich Company's unadjusted book balance at October 31, 2014 is exist2, 550. The following information is available for the bank reconciliation. Outstanding checks, exist600 Deposits in transit, exist450 Bank service charges, exist90 Bank collected an accounts receivable for Rich Company, exist1,000 NSF check written by one of Rich's customers, exist600. Based on this information Rich's true cash balance is

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