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Veronika is preparing her monthly bank reconciliation. The ending cash balance per her company's records is shown as S10131 At the end of the month,

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Veronika is preparing her monthly bank reconciliation. The ending cash balance per her company's records is shown as S10131 At the end of the month, the following information was provided by company records and the monthly bank statement: Bank service charges shown on the bank statement Deposits in transit at the end of the month Outstanding cheques at the end of the month S74 S549 S887 What is the cash balance per books after all adjustments have been made Select one: a. $11493 b. $10606 c. $10057 d. $9170 Check

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