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The following information was used in reconciling the bank account for Maude Company on October 31 Balance per bank, October 31 Insufficient funds check Outstanding

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The following information was used in reconciling the bank account for Maude Company on October 31 Balance per bank, October 31 Insufficient funds check Outstanding checks Utility bill paid by bank Check printing charge Deposits in transit Balance per books, October 31 36,640 1,400 1,800 1.240 80 2,440 40,000 Calculate the Adjusted Book Balanice on October 31. Select one A $37.280 8.537.6 C 36.08 D 533440

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