Question: Current Attempt in Progress Your answer is incorrect. Oriole Service Company had checks outstanding totaling $ 3 6 0 0 0 on its May bank

Current Attempt in Progress
Your answer is incorrect.
Oriole Service Company had checks outstanding totaling $36000 on its May bank reconciliation. In June, Oriole issued checks totaling $225600. The June bank statement shows that $167900 in checks cleared the bank in June. A check from one of Oriole's customers in the amount of $1700 was also returned marked "NSF." The amount of outstanding checks on Oriole's June bank reconciliation should be
$57700.
$92000.
$21700.
$93700.
 Current Attempt in Progress Your answer is incorrect. Oriole Service Company

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