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    In Preparing Its June 30, 2011 Bank Reconciliation, Huang Company
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In Preparing Its June 30, 2011 Bank Reconciliation, Huang Company

Question 71

Question 71

Multiple Choice

In preparing its June 30, 2011 bank reconciliation, Huang Company has the following information available: In preparing its June 30, 2011 bank reconciliation, Huang Company has the following information available:   The adjusted cash balance at June 30, 2011 is A) ¥929,700. B) ¥1,065,300. C) ¥1,108,750. D) ¥1,176,550. The adjusted cash balance at June 30, 2011 is


A) ¥929,700.
B) ¥1,065,300.
C) ¥1,108,750.
D) ¥1,176,550.

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