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Toe cash account for Nomeglan Medical Co. at Apmil 30 indicated a balance of $8,090. The bank statement indicoted a balance of 510,180 on Aphit

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Toe cash account for Nomeglan Medical Co. at Apmil 30 indicated a balance of $8,090. The bank statement indicoted a balance of 510,180 on Aphit 30 . Comparing the bank statement and the aceomparying canceled checks and memos with the recorss revealed the following reconolng itens: b. Checks outstanding totaled $3,660 b. x depotit of $3,520, representing receipts of April 30 , had heen made too late to appear on the bank statement. C. The bank collected $1,090 on a $1,8B0 note, induding intereit of $110 a. A dheck tor $440 returned with the statement had been incorrectly recorded by Norwegian Medical co. as 1400 . The check was for the peyment of on obbgation to Universal Supply Co: for a purchase on account. 6. A check drawn for $50 had been erreneoul/ charged by the bank as $500, t. Benk service charoes for A ghn arrounted to \$50. Angulied 1. Prupare a bank reconclewion 3. If a balance thent is prepartd for Norwegian Hedical Co. on April 30, what amount should tie reported as cash

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