Ch 4 Ex 10,11,12 https/ Ch 4 Ex 10,11126 Help Save & Exit Sub...

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Accounting

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Ch 4 Ex 10,11,12 https/ Ch 4 Ex 10,11126 Help Save & Exit Sub Check my work 3 Company had an unadjusted cash balance of $7750 as of May 31. The company's bank statement. also dated May 3t included a $72 NSF check written by transit as of May 31. According to the bank statement s Nickleson. The bank statement also showed $13 of interest revenue earned by Nickleson There were $700 in outstanding checks and $950 in ervice charges were $50 and the bank collected a $800 note receivable for deposits in 10 Required Determine the true cash balance as of May 31, (Hint ir is not necessary to use all of the preceding items to determine the true balance.)

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