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Thompson Corporation reuni la siguiente informacin de conciliacin al preparar su conciliacin bancaria de octubre: Saldo de caja por banco, 31/10 $16,711 Documento por cobrar

Thompson Corporation reuni la siguiente informacin de conciliacin al preparar su conciliacin bancaria de octubre:

Saldo de caja por banco, 31/10 $16,711
Documento por cobrar cobrado por el banco 3,817
Cheques pendientes 9,883
Depsitos en trnsito 4,807
cargo de servicio bancario 90
cheque NSF 1,015

Usando la informacin anterior, determine el saldo de efectivo por libros (antes de los ajustes) para Thompson Corporation.

a.$14,347

b.$8,923

c.$19,423

m. $ 11,635

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