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On April 30, the bank reconciliation of Ivanhoe Company shows three outstanding cheques: No. 254 for $590, No. 255 for $266, and No.257 for $670.

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On April 30, the bank reconciliation of Ivanhoe Company shows three outstanding cheques: No. 254 for $590, No. 255 for $266, and No.257 for $670. The May bank statement and the general ledger Cash account in May show the following IVANHOE COMPANY Bank Statement (partial) Cheques Paid Date Cheque No. Amount May 254 $590 258 168 IVANHOE COMPANY Cash Account (partial) Cheques Written Date Cheque No Amount May 258 $168 293 259 MacBook Air Additional information: 1. The bank did not make any errors in May. 2. NSF is a customer's cheque that was returned because the customer did not have sufficient funds. 3. SC stands for service charge. List the outstanding cheques at May 31 Outstanding cheques at May 31

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