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The following items could appear on a bank reconciliation: Deposits in transit, $ 2,000. b. a. NSF check from customer, $ 430. Outstanding checks, $1,600.

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The following items could appear on a bank reconciliation: Deposits in transit, $ 2,000. b. a. NSF check from customer, $ 430. Outstanding checks, $1,600. d. c. The bank incorrectly decreased the business's account by $ 155 for a check written by another business. e. The business credited Cash for $2,000. The correct amount was $ 200 REQUIREMENTS Classify each item as (1) an addition to the bank balance, (2) an addition to the book balance, (3) a subtraction from the book balance, or (4) a subtraction from the bank balance

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