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The general ledger Cash account for October 2022 show the following cheques issued and cash receipts: In addition, the deposits and cheques that cleared the

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The general ledger Cash account for October 2022 show the following cheques issued and cash receipts: In addition, the deposits and cheques that cleared the bank during the month of October is presented below: In addition, the deposits and cheques that cleared the bank during the month of October is presented below: Assuming no errors have been made by the company. (a) Calculate the amount of the deposits in transit, identifying the individual items, at October 31. (Round answer to 2 decimal places, e.g. 52.75.) Deposits in transit, October 31$ Calculate the amount of the outstanding cheques, identifying the individual items, at October 31. (Round answer to 2 decimal places, e.g. 52.75.) Outstanding cheques, October 31$

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