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The following information pertains to the AP Company: Cash balance per bank statement $23,250 Cash balance per general ledger 22,005 Bank service charge 75 Deposits

The following information pertains to the AP Company:

Cash balance per bank statement $23,250
Cash balance per general ledger 22,005
Bank service charge 75
Deposits in transit to bank 1,125
Outstanding checks 2,955
NSF check returned by bank 510

AP should show the following reconciled cash balance from the bank reconciliation on its balance sheet:

Select one:

A. $21,930

B. $19,995

C. $24,375

D. $21,420

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