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6 M5-13 Accounting for Unrecorded Items on Bank Reconciliation [LO 5-4) 10 pots Use the following bank statement and account to prepare any journal entries

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6 M5-13 Accounting for Unrecorded Items on Bank Reconciliation [LO 5-4) 10 pots Use the following bank statement and account to prepare any journal entries needed as a result of the May 31 bank reconciliation (if no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.) WANK STATEMENT Date Checks Deposits Other Walance May 1 5300 435 $15 340 124 125 ISSY check $75 140 215 05 95 30 16 40 300 May 31 Service charge 30 Cash 300 Res Way ! May 35 95 125 45 40 50 3D May 32 May 423 May May 11.5 May 21 May 29 29 May 25 300 200 403 May 33 View transaction lit Journal entry worksheet 2 > Record bank service charges

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