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Ryan Company deposits all cash receipts on the day they are recelved and makes all cash payments by check. Ryan's June bank statement shows a

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Ryan Company deposits all cash receipts on the day they are recelved and makes all cash payments by check. Ryan's June bank statement shows a $20,361 balance in the bank. Ryan's comparison of the bank statement to its cash occount reveoled the following: Additionally, a $37 check written and recorded by the company was incorrectly recorded by the bank as a $73 deduction The adjusted cosh balance per the bank records should be: Muniple Choice $24302 $21230 $23192 $21.266

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