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The balance in Jahapp Incorporated s Cash account was $ 6 , 3 2 0 at April 3 0 , 2 0 2 2 before
The balance in Jahapp Incorporateds Cash account was $ at April before reconciliation. The April balance shown in the bank statement was $ Reconciling items included deposits in transit, $; bank service charges, $; outstanding checks, $; and interest credited to the bank account during the month but not recorded on the companys books, $ The reconciled balance at April is:
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