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PLEASE HELP ME !!!! IN FEAR OF FAILING !!!! 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 B. $1,100 C. $1,550
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hmm my calc can do this idk how to input it correctly though
it is a
u mean "B"
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