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2 Date 20 Dont Use the following bank statement and T-account to prepare the May 31 bank reconciliation BANK STATEMENT Checks Deposits Other Balance May

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2 Date 20 Dont Use the following bank statement and T-account to prepare the May 31 bank reconciliation BANK STATEMENT Checks Deposits Other Balance May 1 $280 4 #2 $ 30 $ 70 320 12 24 120 NSF Check 130 $70 35 40 28 90 36 35 30 280 335 #8 75 Service 235 charge 25 Book Part Heerences May 31 Cash (A May 1 May 3 280 70 of 888888 30 90 120 40 35 45 75 May 3:2 May 4 83 May 8:4 May 11 #5 May 21 #6 May 29 #7 May 30 #8 May 29 May 30 280 190 May 31 385 2 20 points Bank Statement Ending Balance per Bank Statement Additions: Bank Reconciliation May 31 Company's Books Ending Balance per Cash Account Additions: Book Print References Deductions: Deductions: Up-to-Dale Cash Balance Up-to-Date Cash Balance

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