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The December 31, 20x3 bank statement for Pardy Inc. showed a balance of $16731. The accountant for the company gathered the following information to prepare
The December 31, 20x3 bank statement for Pardy Inc. showed a balance of $16731. The accountant for the company gathered the following information to prepare the December 31, 20x3 bank reconciliation: 1. Cheques amounting to $6062 are outstanding at December 2. The December 31, 20x3 deposit of $2611 had not been received by the bank in time to be included in the December bank statement 3. The bank charged the company $209 for monthly standard service charges and have not yet been recorded by the company 4. The balance in Pardy Inc.'s cash account according to its accounting records was SX What is the balance in Pardy Incs cash account according to its accounung records at December 31, 20X32 (1.e. what is the value for X) H ANSAS Select one: NE a. $13280 b. $13071 c. $16940 d. $13489 0 Check
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