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The information below relates to the Cash account in the ledger (per books) of XY Company (amount in JD). -Balance June 30, 10,094 -Cash deposit

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The information below relates to the Cash account in the ledger (per books) of XY Company (amount in JD). -Balance June 30, 10,094 -Cash deposit in transit 2,581 -Outstanding checks 1,382 The June bank statement shows the following memoranda: -Balance June 30, 9,525 -Collection of electronic funds transfer (EFT) 884 -Interest earned 26 - NSF check 245 -Debit and credit card fees 35 x Adjusted cash balance per bank at June 30 is a. 10094 O b. 10724 O c. 9525 O d. 12052 The adjusting entries for card fees at June 30 is a. Card fees 35 Cash 35 b. Cash over and short 35 Cash 35 O c. Cash 35 Cash over and short 35 d. Cash 35 Card fees 35

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