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what did I do wrong During the month of June, Richardson, Inc. had transactions that resulted in the following amounts being recorded in its Cash

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During the month of June, Richardson, Inc. had transactions that resulted in the following amounts being recorded in its Cash account; (1) $1,800 debit, (2) $450 credit, (3) $325 debit, (4) $1,475 credit, (5) $150 credit, and a (6) $675 debit. Richardson, Inc.'s cash balance at the beginning of June was $2,300 Enter the amounts from above in a T-account to determine Richardson, Inc.'s cash balance at the end of June. (Use a "Bal" posting reference to post both the beginning and ending balance of the Cash account. Use the appropriate posting references-(1), (2), (3), etc.-when posting the transactions for the month to the Cash T-account.) Cash (1) (3) (6) 1800 (2) 450 325 (4) 1475 675 (5) 150 Bal 2075

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