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4 Use the following bank statement and T-account to prepare the May 31 bark reconciliation Date May 1 BANK STATEMENT Checks Deposits Other 85 #2

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4 Use the following bank statement and T-account to prepare the May 31 bark reconciliation Date May 1 BANK STATEMENT Checks Deposits Other 85 #2 $ 45 $ 84 135 Balance $ 340 380 160 12 NSF Check $85 28 +5 55 105 340 30 May 31 #6 #8 50 90 Service charge 40 erences Cash (A) May 1 May 3 340 85 45 105 135 May 382 May 423 May 834 May 11 25 May 2176 May 29 17 May 30 78 May 29 May 30 340 60 22090 May 31 445 Bank Recon Bank Statement Ending Balance per Bank Statement Additions: Bank Reconciliation May 31 Company's Books Ending Balance per Cash Account Additions: Deductions: Deductions: Up-to-date Cash Balance Up-to-Date Cash Balance

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