The cash account shows a balance of $40,000 before reconciliation.The bank statement does not include a deposit of $9,200 made on the last day of the month.The bank
Statement shows a collection by the bank of $3,960 and a customer's check for $1,300 was returned because it was NSF.A customer's check for $1,380 was recorded on the books as $1,920, and a check written for $318 was recorded as $390.The correct balance in the cash account was
A) $42,048.
B) $42,192.
C) $43,128.
D) $51,392.
Correct Answer:
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