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The following information is related to the bank reconciliation of the Acme Company: Balance per bank statement $1,951.20 Balance per ledger 1,869.60 Deposits in transit
The following information is related to the bank reconciliation of the Acme Company:
Balance per bank statement | $1,951.20 |
Balance per ledger | 1,869.60 |
Deposits in transit | 271.20 |
Outstanding checks | 427.80 |
NSF check | 61.20 |
Service charges | 13.80 |
The adjusted/correct cash balance is _______________.
$1,794.60 | |
$1,719.60 | |
$1,638.00 | |
$1,713.00 | |
$1,876.20 |
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