(C) A1 Bicycle Company assembled the following information in reconciliation: completing its March...

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Accounting

(C)
A1 Bicycle Company assembled the following information in reconciliation: completing its March bank
Balance per bank
Outstanding checks
Deposits in transit
NSF check
$12,224
$2,480
$4,000
$256
$80
Bank service charges
Cash balance per $256 books $80
As a result of this reconcilo $14,080
increase its cash account by $176.
reduce its cash account by $80.
reduce its cash account by $336.
reduce its cash account by $1,520.
(C)
A1 Bicycle Company assembled the following information in reconciliation: completing its March bank
Balance per bank
Outstanding checks
Deposits in transit
NSF check
$12,224
$2,480
$4,000
$256
$80
Bank service charges
Cash balance per $256 books $80
As a result of this reconcilo $14,080
increase its cash account by $176.
reduce its cash account by $80.
reduce its cash account by $336.
reduce its cash account by $1,520.
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