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Time left 0:47:23 23 Tang Company assembled the following information in completing its June bank reconciliation: balance per bank $21,460; d out of outstanding checks
Time left 0:47:23 23 Tang Company assembled the following information in completing its June bank reconciliation: balance per bank $21,460; d out of outstanding checks $12,325; deposits in transit $13,750; question NSF check $2,240; bank service charge $85, cash balance per books $25,210. As a result of this reconciliation, Tang will reduce its cash account by $3,750. O b. reduce its cash account by $2,325. OC increase its cash account by $2,240. Od increase its cash account $1.425
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