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Saved Checks BANK STATEMENT Deposits Other Balance Balance, September 1 $ 1,940 September 7. NSF check $ 90 1,850 September 11 $ 2,910 of
Saved Checks BANK STATEMENT Deposits Other Balance Balance, September 1 $ 1,940 September 7. NSF check $ 90 1,850 September 11 $ 2,910 of 4 4,760 September 12 September 17 #101 102 $ 770 3,990 1,640 2,350 September 26 #103 2,270 BO September 29 EPT deposit 135 215 September 30 Service charge 10 205 Cash (A) Debit Credit Book September 1 Balance September 10 Hint September 30 1,940 2,910 2,350 1,640 770 September 101 #101 September 15 #102 Print 2,270 40 September 22 #103 September 28 104 2,480 ferences September 30 Balance No outstanding checks and no deposits in transit were noted in August. However, there are deposits in transit and checks outstanding at the end of September. The NSF check and EFT involved transactions with Cadieux Company's customers. 3. What should the balance in the Cash account be after recording the journal entries in requirement 2? Cash Balance
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