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Snell Company gathered the following reconciling information in preparing its September bank reconciliation: Unadjusted Cash balance at September 30 $3492.98 Deposits in transit $343.37 Wire

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Snell Company gathered the following reconciling information in preparing its September bank reconciliation: Unadjusted Cash balance at September 30 $3492.98 Deposits in transit $343.37 Wire transfers received by bank from Snell's $551.41 customer, not yet recorded by Snell Outstanding checks $1171.21 NSF check deposited by Snell $174.93 The adjusted cash balance per books on September 30 for Snell Company is

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