Jedi, Inc. had the following bank reconciliation at March 31, 2020: Balance per bank statement,...
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Accounting
Jedi, Inc. had the following bank reconciliation at March 31, 2020: Balance per bank statement, '3/31/20 $74,400 Add: Deposit in transit 20.500 95.000 Loss: Outstanding checks 25.200 Balance per books, 3/31/20 $69.800 Data per bank for the month of April 2020 follow Deposits $87.400 Disbursements 99,400 All reconciling items at March 31, 2020 cleared the bank in April. Outstanding checks at April 30, 2020 totaled $12,000. There were no deposits in transit at April 30, 2020. What is the cash balance per books at April 30, 2020? Note: You do not need to propare the April bank reconciliation, but do need to show your work

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