Multiple Choice Question 148 Splish Brothers Inc. assembled the following information in completing its March...

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Multiple Choice Question 148 Splish Brothers Inc. assembled the following information in completing its March ba Balance per bank Outstanding checks Deposits in transit NSF check Bank service charge Cash balance per books $22900 $4650 $7500 $480 $150 $26400 As a result of this reconciliation, Splish will O reduce its cash account by $2850 O reduce its cash account by $150 O increase its cash account by $330. O reduce its cash account by. $630. Click if you would like to Show Work for this question: Open Show Work

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