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At April 30, the bank reconciliation of Pharoah Company shows three outstanding checks: No. 254 $740, No. 255 $730, and No. 257 $435. The May

    At April 30, the bank reconciliation of Pharoah Company shows three outstanding checks: No. 254 $740, No. 255 $730, and No. 257 $435. The May bank statement and the May cash payments journal are given here.

    Bank Statement
    Checks Paid

    Date

    Check No.

    Amount

    5-4

    254

    $740

    5-2

    257

    435

    5-17

    258

    168

    5-12

    259

    300

    5-20

    260

    1,225

    5-29

    263

    520

    5-30

    262

    775

     

    Cash Payments Journal
    Checks Issued

    Date

    Check No.

    Amount

    5-2

    258

    $168

    5-5

    259

    300

    5-10

    260

    1,225

    5-15

    261

    540

    5-22

    262

    775

    5-24

    263

    520

    5-29

    264

    390


    Using step 2 in the reconciliation procedure, list the outstanding checks at May 31.

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