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Business, 09.12.2021 03:50 juan3937

In preparing its bank reconciliation for the month of April 2018, Concord, Inc. has available the following information. Balance per bank statement, 4/30/18$78900 NSF check returned with 4/30/18 bank statement930 Deposits in transit, 4/30/189300 Outstanding checks, 4/30/1810300 Bank service charges for April40 What should be the adjusted cash balance at April 30, 2018

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