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The following information is available for ACCT 201 Co. for June 30, 2021: The bank statement balance is $7,000. cash account balance is $5,322 The

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The following information is available for ACCT 201 Co. for June 30, 2021: The bank statement balance is $7,000. cash account balance is $5,322 The General Ledger Outstanding checks totaled $1,500. $500. Deposits in transit are The bank service charge is $22. bank, $650 plus $50 interest income. Note Collection by The amount of the adjusted cash balance per the bank statement and the adjusted cash balance per the company's records are: A. Adjusted Bank = $10,200; Adjusted Cash balance per books = $ 10.200 B. Adjusted Bank = $6,000; Adjusted Cash balance per books = $ 6,000 C. Adjusted Bank = $10,200; Adjusted Cash balance per books = $ 5,322 D. Adjusted Bank = $7,000; Adjusted Cash balance per books = $4,300 E. None of the above

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