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The Following Information Was Available to the Accountant of Midland

Question 100

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The following information was available to the accountant of Midland Company when preparing the monthly bank reconciliation: The following information was available to the accountant of Midland Company when preparing the monthly bank reconciliation:   What is the corrected cash balance per books following completion of the reconciliation? A)  $430. B)  $620. C)  $645. D)  $120. What is the corrected cash balance per books following completion of the reconciliation?


A) $430.
B) $620.
C) $645.
D) $120.

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