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At April 30, the bank reconciliation of Cullumber Company shows three outstanding checks: No. 254$745, No. 255 $910, and No. 257 $450. The May bank
At April 30, the bank reconciliation of Cullumber Company shows three outstanding checks: No. 254$745, No. 255 \$910, and No. 257 $450. The May bank statement and the May cash payments journal are given here. Using step 2 in the reconciliation procedure, list the outstanding checks at May 31. eTextbook and Media
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