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You have the following information from your bank reconciliation of the month of March 2020 Cash balance per books $43,000 Outstanding cheques 9,000 7,500 Deposits

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You have the following information from your bank reconciliation of the month of March 2020 Cash balance per books $43,000 Outstanding cheques 9,000 7,500 Deposits in transit 650 Bank service charges for March 2020 NSF cheque returned 2,300 The adjusted balance per Bank Statement at the end of March 2020 is Select one: O a. $40,050 O b. $38,550 O c. $41,550 O d. $47,550

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