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The adjusted cash balance per the books on May 31 is: a) $22,700 b) $24,040 c) $24,980 d) $25,100 Vaughan Manufacturing had the following reconciling
Vaughan Manufacturing had the following reconciling information in preparing its May bank Cash Balance net Books. 5/31 Deposits in Transit Elec tronic Received Bank Charge for Che-CQ printing Outstanding NSF Check "8.000 S 6.040 "2.200 Sl.140 The adjusted cash the books on May 31 O ) $22,700 ) $24,040 ) $24,980 d) $25,100
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