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Business, 12.03.2021 14:50 YourFinalsAreHere

Desert, Inc. is completing its bank reconciliation for the month of April. Desert reports the following information: Balance per Bank Statement 4/30 $151,220
NSF Check returned with 4/30 bank statement $1,045
Deposits in Transit 4/30 $15,877
Outstanding Checks 4/30 $15,408
Bank Service Charges for April $65

Required:
What should be the adjusted cash balance at April 30?

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Desert, Inc. is completing its bank reconciliation for the month of April. Desert reports the follow...
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