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Bank Reconciliation The following information is available to assist you in preparing a bank reconciliation for Cuyahoga Corporation on May 31: a. The balance on

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Bank Reconciliation The following information is available to assist you in preparing a bank reconciliation for Cuyahoga Corporation on May 31: a. The balance on the May 31 bank statement is $8,432.11. b. Not included on the bank statement is a $1,250 deposit made by Cuyahoga Corporation late on May 31. c. A comparison between the canceled checks returned with the bank statement and the company records indicated that the following checks are outstanding at May 31: No. 123 $23.40 No. 127 145.00 No. 128 210.80 No. 130 62.59 d. The Cash account on the company's books shows a balance of $9.965.34 e. The bank acts as a collection agency for Interest earned on some municipal bonds held by Cuyahoga Corporation. The May bank statement indicates interest of $465.00 earned during the month. 1. Interest earned on the checking account and added to Cuyahoga Corporation account during May was $54.60. Miscellaneous bank service charges amounted to $50.00 9. A customer's NSF check in the amount of $161.27 was returned with the Maybank statement. h. A comparison between the deposits listed on the bank statement and the company's books revealed that a customer's check in the amount of $123.45 was recorded on the books during May but was never added to the company's account. The bank erroneously added the check to the account of Chattanooga Corporation, which has an account at the same bank. 1. The comparison of deposits per the bank statement with those per the books revealed that another customer's check in the amount of $101.10 was correctly added to the company's account. In recording the check on the company's books, however, the accountant erroneously increased the Cash account by $1,011.00 Required: Enter all amounts rounded to the nearest cent. Check My Work 5 more Check My Work uses remaining Previous Next Center? eBook Calculator 1. Prepare a bank reconciliation in good form. Cuyahoga Corporation Bank Reconciliation May 31 Balance per bank statement, May 31 No. 123 No. 127 No. 128 Save Submit Assignment for Grading

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