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The following information pertains to Wildhorse Company 1 2 3 Cash balance per books, August 31. $7.424 Cash balance per bank, August 31. 57,388. Outstanding
The following information pertains to Wildhorse Company 1 2 3 Cash balance per books, August 31. $7.424 Cash balance per bank, August 31. 57,388. Outstanding checks, August 31, 5709. August bank service charge not recorded by the depositor $61 Deposits in transit. August 31.$3.760. 4. 5. In addition, $3.076 collected for Wildhorse Company in August by the bank through electronic funds transfer. The accounts receivable collection has not been recorded Wildhorse Comparty Cash balance per bank statement Add VE Deposits in transit Outstanding checks Adjusted cash balance por bank Cash balance per books $ Add v Collection on electronic funds transfor Bank service chasto Add V: Collection on electronic funds transfer Less Bank service charge Adjusted cash balance per books e Textbook and Media List of Accounts Strictorate Attempts: 1 of 5 used Submit An
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