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On October 31,2015,the bank statement shows that your company has $12,956.73 in its checking account.You are aware of three outstanding checks for a total of $2,112.19.During October,2015,the bank rejected two deposited checks from customers totaling $654.19 because of insufficient funds and charged you $12.00 in service fees.You had not yet received notice about the bad checks,but you were aware of and have recorded the $12.00 of service fees.Prior to adjustment on October 31,2015,your Cash account would have a balance of:
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