Multiple Choice
Athens, Inc.'s June bank statement shows a June 30 balance of $36,200. Prior to reconciliation, its books show a cash balance of $36,840. The information below pertains to Athens:
The reconciled cash balance at June 30 on the bank reconciliation should be:
A) $40,400
B) $38,080
C) $37,360
D) $37,080
Correct Answer:

Verified
Correct Answer:
Verified
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