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A compamy's cash account shows a 54,334 debit balance and its bank statemant shows 54,462 cash on deposit ot the ciose of business on May

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A compamy's cash account shows a 54,334 debit balance and its bank statemant shows 54,462 cash on deposit ot the ciose of business on May 31. Prepare its bank roconciliabion using the following informatoct a. Outstanding checks as of May 31 total $69 b. The bank statement shows a $53 NSF check from a customer; the company has rot yet rocorded this NSF check c. Moy 3l cash receipts of $281 were plached in the bank's right depository after banking hours and were not tecorded on the May 31 bunle statempont d. The May 31 bank statement Hsts 551 in banik check printing charges; the company has rot yet recorded the cost of these services. e. A note receivable for $444 is collected by the bank for the company, but it is not yet recorded by the company. Prepare the May 31 bank reconciliation for the company

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