The following information is available for Jade Company for the month ending June 30, 2017....

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Accounting

The following information is available for Jade Company for the month ending June 30, 2017. Balance as per the bank statement is $12,000. Balance as per books is $10,300. Check #506 for $1,200 and check #510 for $800 were not shown on the June 30, bank statement. A deposit in transit of $3,000 had not been received by the bank when the bank statement was generated. A bank debit memo indicated an NSF check for $100 written by Jane Smith to Jade Company on June 13. A bank credit memo indicated a note collected by the bank of $2,100 and interest revenue of $51 on June 20. The bank statement indicated service charges of $30. What is the adjusted book balance?

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