During june sheffield made deposits of 4980 and made


Question - On June 1, 2018, Sheffield Inc. reported a cash balance of $12900. During June, Sheffield made deposits of $4980 and made disbursements totalling $14900. What is the cash balance at the end of June?

$17880 debit balance

$2980 credit balance

$2000 credit balance

$2980 debit balance

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Accounting Basics: During june sheffield made deposits of 4980 and made
Reference No:- TGS02608951

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