"ABC" Company had provided you with the following bank reconciliation related information as of March...

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Accounting

"ABC" Company had provided you with the following bank reconciliation related information as of March 31:
Balance per bank statement, 331
The total amount of the Outstanding checks
The total amount of Deposit in transit (DIT)
$325,500
$88,200
$72,100
Moreover, data per bank statement for the month of April are shown below:
The total amount of Disbursements.
The total amount of Deposits in April
$347,900
Outstanding checks as of April 30
$408,800
$52,500
Based on the above-given information, What is the amount of cash disbursements per books in April, if All reconciling items at March 31 cleared through the bank in April. ?
cash disbursements per books in April
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