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Use the following information related to Cody Camera Company's bank reconciliation to answer the following question. Cash balance per the bank statement, July 31, $7,263

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Use the following information related to Cody Camera Company's bank reconciliation to answer the following question. Cash balance per the bank statement, July 31, $7,263 Cash balance per the general ledger at july 31, $7,286. July bank service charge not recorded by the Cody Company of $15. A deposit of $1,700 was made too late on July 31 to appear on the bank statement. During July the bank collected a $1,000 note receivable for Cody. This collection has not been recorded by Cody. Outstanding checks at July 31 total $772. included in the bank statement was a debit memorandum for $100 for an NFS check. Cody had not previously recorded this Cody earned $20 of interest income during July which the bank credited directly to the account. After preparing the reconciliation, which of the following items would not require an adjusting entry to cody's general ledger? $15 bank service charge not recorded by the Cody Company. During July the bank collected a 51,000 note for Cody. Outstanding checks at july 31 total $772. NES check of $100 0 0 0 0 Interest earned on the account

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