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Savannah Company gathered the following reconciling information in preparing its October bank reconciliation. Balance per bank $16,750 Balance per company records 16,125 Bank service charges
Savannah Company gathered the following reconciling information in preparing its October bank reconciliation.
Balance per bank $16,750
Balance per company records 16,125
Bank service charges 80
Deposit in transit 2,195
NSF check 950
Outstanding checks 3,850
Determine the adjusted balance on October 31. a. $10,705 b. $15,720 c. $14,470 d. $15,095
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