Gunnar Company gathered the following reconciling information in preparing its September bank reconciliation. ...

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Accounting

Gunnar Company gathered the following reconciling information in preparing its September bank reconciliation.
Cash balance per company records, September 30 $2,571
Deposits in transit 436
Notes receivable and interest collected by bank 776
Bank charge for check printing 40
Outstanding checks 1,530
NSF check 199
Determine the adjusted balance on September 30.
a. $1,477
b. $3,108
c. $2,014
d. $2,213

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