(i) iclick the icon to view the data.) Required 1. Prepare the bank reconcikation tor danson Dotrevilors at May 31,2023 Requirement 1. Prepare the bank reconcysution tor Jansen Dolnbulors at Moy 31.2023 a. The May 31 bank balance is $38,337. b. The bank statement includes two deductions for NSF cheques from customers. One was for $161, and the other was for $390. c. The following Janson Distributors's cheques are outstanding at May 31. d. A few customers pay their accounts by EFT. The May bank statement lists a $12,900 deposit against customer accounts. e. The bank statement includes two special deposits: $1,770, which is the amount of GST refund (GST Receivable), the bank received on behalf of Janson Distributors, and $180, the interest revenue Janson earned on its bank balance during May. f. Janson's owner wrote a cheque for $815 for the purchase of auction equipment items. The cheque was processed by the bank, but the owner did not notify his accounting staff before the end of the month, so the cheque Data d. A few customers pay their accounts by EFT. The May bank statement lists a $12,900 deposit against customer accounts. e. The bank statement includes two special deposits: $1,770, which is the amount of GST refund (GST Receivessle), the bank received on behalf of Janson Distributors, and $180, the interest revenue Janson earned on its bank balance during May. f. Janson's owner wrote a cheque for $815 for the purchase of auction equipment items. The cheque was processed by the bank, but the owner did not notify his accounting staff before the end of the month, so the cheque was not recorded. g. On May 31 , the company deposited $955, but this deposit does not appear on the bank statement. h. The bank statement includes an $850 deduction for a cheque drawn by BRZ Communications. Janson promptly notified the bank of its error. i. The bank statement lists a \$134 subtraction for the bank service charge