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Trudy, Inc, had the following bank reconciliation at March 31, 2021: All reconciling items at March 31, 2021 cleared the bark in April. Outstanding checks

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Trudy, Inc, had the following bank reconciliation at March 31, 2021: All reconciling items at March 31, 2021 cleared the bark in April. Outstanding checks at April 30, 2021 tataled s6000. There were no deposits in trarsit at April 30, 2021. What is the cash balance per books at April 30, 2021? $31900$25900$34200$38500

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