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London Corp. London Corp. identified the following data in preparing a bank reconciliation on October 31, 2008. Bank statement balance $29,600 London's book balance (before

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London Corp. London Corp. identified the following data in preparing a bank reconciliation on October 31, 2008. Bank statement balance $29,600 London's book balance (before adjustments) ? Outstanding checks 3,100 NSF checks 300 Service charges 200 Deposite in transit 2,200 Interest earned on checking account 100 Question 58 2 pts Refer to London Corp. How much is London's adjusted cash balance on October 31, 2010? $29,600 $28,300 $28,700 $29,100 Question 59 2 pts Refer to London Corp. How much is London's balance in its accounting records before adjustment? $28,700 $29.100 $29.600 $28,300 Question 60 2 pts

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