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Le Bateau Manufacturing Inc

Question 17

Multiple Choice

Le Bateau Manufacturing Inc.gathered the following reconciling information in preparing its May bank reconciliation: Le Bateau Manufacturing Inc.gathered the following reconciling information in preparing its May bank reconciliation:   The adjusted cash balance per books on May 31 is A) €9,460. B) €10,390. C) €15,120. D) €15,130. The adjusted cash balance per books on May 31 is


A) €9,460.
B) €10,390.
C) €15,120.
D) €15,130.

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