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Current Attempt in Progress The reconciled cash balance from Cullumber Corporation's August 31 bank reconciliation was $34,050. Cullumber recorded the following events in the general

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Current Attempt in Progress The reconciled cash balance from Cullumber Corporation's August 31 bank reconciliation was $34,050. Cullumber recorded the following events in the general ledger Cash account during the month of September: (1) cheques totalling $178,740 were issued: 121 salaries of $38,850 were electronically deposited to employee accounts: 13) the monthly EFT payment of $2.370 was made for rent; and 14 deposits totalled $199.950 4 Q Ac QU Roc Calculate Collumber's cash balance in the general ledger Cash account on September 30, prior to the bank reconciliation vic Cash balance 5 Indicate the effect of items (1) through (4) in the bank reconciliation (1) (2) 4 (3) 141 Q A

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