8. The following information pertains to the Juniper Company: Cash balance per bank statement Cash...

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Accounting

8. The following information pertains to the Juniper Company: Cash balance per bank statement Cash balance per general ledger Bank service charge Deposits in transit to bank Outstanding checks NSF check returned by bank $23,250 22,005 75 1,125 2,955 510 Juniper should show the following reconciled cash balance from the bank reconciliation on its balance sheet: A) $21,420 B) $21,930 C) $24,375 D) $19,995
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8. The following information pertains to the Juniper Company: Juniper should show the following reconciled cash balance from the bank reconciliation on its balance sheet: A) $21,420 B) $21,930 C) $24,375 D) $19,995

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