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Thompson Corporation gathered the following reconciling information in preparing its October bank reconciliation: Balance per Bank Statement: $15,466 NSF Check: $ 2,336 Deposit in Transit:
Thompson Corporation gathered the following reconciling information in preparing its October bank reconciliation: Balance per Bank Statement: $15,466 NSF Check: $ 2,336 Deposit in Transit: $4,907 Unadjusted balance per books: $10,250 Outstanding Checks: $9,288 Note Receivable collected by bank: $3,399 Bank Service Charge: $228 What is the adjusted balance per books? 1. $10,250 2. $11,085 3. $12,011 4. $9,560 O 1 2 N 3 o O
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