What the reconciled cash balance as of october

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The following information is available for Company Inc. for October 31, 2019

The bank statement balance is $3208

The cash account balance is $3930

Outstanding cheques totalled $1285

Deposits in transit are $1670

The bank service charge is $30

A cheque for $98 for supplies was recorded as $89 in the ledger

Question 1: What The reconciled cash balance as of October 31, 2019 is

Reference no: EM132493798

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