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The Cash account in the general ledger showed a balance of $ 3 , 6 0 0 at June 3 0 . The bank statement

The Cash account in the general ledger showed a balance of $3,600 at June 30. The bank statement showed a balance of $4,500 at June 30. The only reconciling items consisted of a $700 deposit in transit, a bank service charge of $7, and several outstanding checks. What is the total amount of outstanding checks at June 30? A. $1,513 B. $1,486 C. $1,607 D. Some other amount

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