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TOL n 27 Hanson-Swiss Wholesale Corporation gathered the following reconciling information in preparing its March bank reconciliation: ed out of Cash balance per books, 3/31

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TOL n 27 Hanson-Swiss Wholesale Corporation gathered the following reconciling information in preparing its March bank reconciliation: ed out of Cash balance per books, 3/31 $29,500 question Deposits in transit 7,300 Notes receivable and interest collected by bank 2,500 Bank charge for check printing 50 Outstanding checks 4,500 NSF check 950 The cash balance reported on the company's March statement of financial position is $29,500 O b. $33,850 O c. $32,300 O d. $31,000

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