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The Cash in Bank account balance on April 3 0 was $ 1 3 , 9 1 0 . In reviewing checks returned by the

The Cash in Bank account balance on April 30 was $13,910. In reviewing checks returned by the bank, the accountant discovered that check No.811 written for $326 for delivery expense, was recorded in the cash disbursements journal as $272. The NSF check for $540 was that of customer R. Koppa, deposited in April.

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