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densk [106]
3 years ago
8

URGENT!! I need the numbers to fill into the yellow squares... help?

Mathematics
2 answers:
ale4655 [162]3 years ago
7 0
<h3>♫ - - - - - - - - - - - - - - - ~Hello There!~ - - - - - - - - - - - - - - - ♫</h3>

➷ The range is the difference between the largest and smallest value

Adding in a number that is not the smallest or largest value wouldn't change the range

part a) number: 52

However, if you add a number that will be the largest or smallest value, the range will change

part b) number: 40

<h3><u>✽</u></h3>

➶ Hope This Helps You!

➶ Good Luck (:

➶ Have A Great Day ^-^

↬ ʜᴀɴɴᴀʜ ♡

belka [17]3 years ago
3 0

1. The range is the largest number minus the smallest number. Therefore, any number between 42 through 68 works, since they are the extremities. (e.g. 50, 65, etc.)

2. As said previously, the range is max.-min. Thus changing the maximum by adding a larger number or the minimum by adding a smaller number will do, so a number less than 42 or larger than 68. (e.g. 1, 1937, etc.)

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ipn [44]

Answer:A

Step-by-step explanation:

i have done it before

8 0
3 years ago
On August 31, 2021, Cullumber Company had a cash balance per its books of $26,420. The bank statement on that date showed a bala
JulsSmile [24]

a) The preparation of the bank reconciliation statement on August 31 for Cullumber Company is as follows:

<h3>Bank Reconciliation Statement</h3>

Balance as per bank statement            $16,780

Add uncredited deposits of 17,220

       Check #705 overstated                         36

Less uncashed checks                            (5,780)

Adjusted bank statement balance of $28,256

b) The preparation of the necessary adjusting entries on August 31 is as follows:

Debit Cash $2,050

Credit Accounts Receivable (EFT deposits) $2,050

Debit Accounts Receivable (R. Dubai) $197

Credit NSF charges $187

Credit Service charges $10

Debit Bank service charges $27

Credit Cash $27

<h3>What is bank reconciliation?</h3>

Bank reconciliation is the comparison of an entity's records with those of its bank, to uncover any differences between these two sets of records of bank transactions.

Bank reconciliation is carried out by the preparation of a bank reconciliation statement, which outlines the deposits, withdrawals, and other activities affecting a bank account for a specific period.

<h3>Data and Calculations:</h3>

Cash balance per books on August 31, 2021 = $26,420

Bank statement balance = $16,780

<h3>Analysis of Discrepancies:</h3>

1. Uncredited deposit = $17,220

2. EFT deposits = $2,050

3. Outstanding checks:
Check #673 = $1,230

Check #710 = $2,330

Check #712 = $2,220

Total outstanding checks = $5,780 ($1,230 + $2,330 + $2,220)

4. NSF charge = $187

Service charge = $10

5. Bank service charges = $27

6. Check #705 overstated = $36 ($173 - $137)

<h3>Adjusted Cash Account:</h3>

Balance as per Cash Book        $26,420

EFT deposits                                $2,050

Less:

NSF charge                 187

Bank service charges 27                (214)

Adjusted cash book balance $28,256

Learn more about bank reconciliation statements at brainly.com/question/15525383

6 0
3 years ago
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almond37 [142]

Answer:

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befor input one it had 5 and 24

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6 0
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Answer:

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