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Question 10 2 pts Given the following partial information for the Cass Company, determine which of the journal entries shown is necessary to adjust the

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Question 10 2 pts Given the following partial information for the Cass Company, determine which of the journal entries shown is necessary to adjust the balance in the Cash account? Balance per bank statement, May 31, 2019 $41.850 Balance per Cash account in ledger, May 31, 2019 34,100 Bank service charges for May Bank error (deducted $100 for check actually written for $1.000) Note collected by bank for the Cass Company 40 900 1.500 Cash Bank service charge expense Notes Receivable 1,460 40 1.500 40 Bank service charge expense Casti 40 leash Accounts payable Bank service che expense 560 900 40 Cash Accounts payable Notes Receivable Bank service charge expense 640 900 1,500 40

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