Question
You are doing a bank reconciliation for June 20x 3. You have a $3,250 unadjusted ledger C ash balance and the following information: Deposit in
You are doing a bank reconciliation for June 20x3. You have a $3,250 unadjusted ledger Cash balance and the following information: Deposit in transit, $900, Outstanding checks: No. 651, $640; No. 660, $450; No. 661, $35, Check No. 655 was written for $795 to purchase office supplies but was incorrectly recorded as $975 , NSF check from a customer, $600, Automatic payment on a note payable that your company owes to the bank recorded on the June bank statement but not recorded in your companys Cash ledger account ,$1,200, Another companys check was deducted from your companys June bank statement,$500, Bank service charge, $25
What was the bank statement balance on June 30, 20x3?
A.$1,880
B.$1,330
C.$970
D.$3,730
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