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1 vote
The checkbook balance of Sunfresh, Inc. is $6,917.63. The bank statement shows a balance of $8,737.35. The bank statement showed interest earned in the amount of $59.60, a service charge of $37.25, and an outstanding deposit of $2,848.89. Outstanding checks totaled $837.38. The bookkeeper noticed the collection of a note by the bank for $4,270.40. Sunfresh, Inc. forgot to deduct a check for $461.52. Their reconciled balance is:

A. $10,748.86
B. $10,784.86
C. $6,478.46
D. $10,748.68

2 Answers

4 votes
the answer is a numbnuts
User Gennine
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7.8k points
5 votes
The answer is d $10,748.68
User Nick Div
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7.1k points