The following information is available for Happy Company as of June 30: June 30 general...

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The following information is available for Happy Company as of June 30: June 30 general ledger June 30 bank statement Outstanding checks Bank service charge $ 1,344 $ 1,895 $ 795 $ 10 A $340 deposit placed in the bank's night depository on June 30 does not appear on the June 30 bank statement. A customer's $110 note was collected by the bank in June. A fee of $4 was deducted by the bank upon collection of the customer's note. What is the adjusted reconciled balance on Happy's June 30 bank reconciliation? O $1,895 O $2.350

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