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OpenStudy (anonymous):

Using the following information, determine the adjusted cash balance per bank for Santa’s Packaging on November 30. Cash balance on the bank statement $2,350 Customer’s check returned—NSF 500 Customer’s note collected by the bank 600 Deposits in transit, November 30 1,400 Outstanding checks, November 30 2,650 A. $1,250 B. $1,100 C. $1,550 D. $1,350

OpenStudy (anonymous):

@cram

OpenStudy (anonymous):

a

OpenStudy (anonymous):

thank you !!!!1

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