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Splish brothers inc. assembled the following information in completing it March bank reconciliation. balance bank $22900 outstanding checks $4650 deposits in transit $7500 NSF check

Splish brothers inc. assembled the following information in completing it March bank reconciliation.

balance bank $22900

outstanding checks $4650

deposits in transit $7500

NSF check $480

bank serv charge $150

cash balance $26380

As a result of this reconciliation, Splish will

reduce its cash account by $2850

reduce its cash account by $150

increase its cash account by $330

reduce its cash account by $630

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