On 31 May the bank statement of a business showed a positive bank balance of $1790. Comparing the bank statement with the cash book the following items were discovered.
- The bank had charged $35 in error.
- Unpresented cheques totalled $550.
- Uncredited deposits totalled $250.
What was the cash book balance?
1 )
$1455
2 )
$1490
$1525
4 )
$2125
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