The adjusted cash balance per books on June 30 is
Cash balance per books, 6/30...$4,200
Deposits in transit.........300
Notes receivable and interest collected by bank..........740
Bank charge for check printing........25
Outstanding checks.............1,500
NSF check.........140
a. $5,075.
b. $4,940.
c. $4,775.
d. $5,055.
Ans: c. $4,775.
Business
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