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The Buy N' Large Company provides the following information about the month-end bank reconciliation: Cash per bank statement Cash per company records Monthly bank service

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The Buy N' Large Company provides the following information about the month-end bank reconciliation: Cash per bank statement Cash per company records Monthly bank service charge Deposits in transit at month-end Outstanding checks at month-end Customer check returned NSF $1,367 $7,383 $25 $8,345 $2,399 $45 The correct or adjusted ending cash balance is? $4,914 $7,268 $7,313 $7,383

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