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The 30 April bank reconciliation of Perth Co was prepared using the information below.Ledger bank balance $14 805 Dr (adjusted); Outstanding deposit $2 680; Unpresented

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The 30 April bank reconciliation of Perth Co was prepared using the information below.Ledger bank balance $14 805 Dr (adjusted); Outstanding deposit $2 680; Unpresented cheques $6 575; What was the bank statement balance at 30 April? a. $18 700 b. $24 060 c. $10 910 d. $17 485

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