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Assuming that New Tyre Corp. had the following reconciling items: bank charges of $8, an NSF...

  • Assuming that New Tyre Corp. had the following reconciling items: bank charges of $8, an NSF for $120, outstanding deposit of $500, outstanding checks totaling $1,200. Journal entries required would include which of the following

  • A credit to Cash for $128


  • A debit to Accounts Receivable for $128


  • A debit to Cash for $500

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A credit to cash for $128

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