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M5-13 Accounting for Unrecorded Items on Bank Reconciliation (LO 5-4) Use the following bank statement and T-account to prepare any journal entries needed as a

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M5-13 Accounting for Unrecorded Items on Bank Reconciliation (LO 5-4) Use the following bank statement and T-account to prepare any journal entries needed as a result of the May 31 bank reconciliation (14 no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.) Checks Other Date May 1 4 12 28 30 May 31 BANK STATEMENT Deposita $75 NSY check 300 Service charge 2 $35 4 125 45 45 #6 40 wa 80 $75 Balance $300 340 140 95 355 245 30 May 1 May 3 Cash (A) 300 75 35 95 325 45 40 300 50 200 80 405 May) #2 May 43 May B24 May 11 5 May 21 16 May 29 ) May 30 May 29 May 30 May 31 View transaction list Journal entry worksheet

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