Waiting for answer This question has not been answered yet. You can hire a professional tutor to get the answer.
Marigold Company assembled the following information in completing its July bank reconciliation:
Marigold Company assembled the following information in completing its July bank reconciliation: balance per bank $23050; outstanding checks $4610; deposits in transit $7570; NSF check $490; bank service charge $130; cash balance per books $26410. As a result of this reconciliation, Marigold will