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Use the following bank statement and T - account to prepare the May 3 1 bank reconciliation. BANK STATEMENT Date Checks Deposits Other Balance May

Use the following bank statement and T-account to prepare the May 31 bank reconciliation.
BANK STATEMENT
Date Checks Deposits Other Balance
May 1 $ 300
May 4 #2 $ 35 $ 75340
May 12 #4125 NSF check $ 75140
May 28 #54595
May 30 #640300355
May 31 #880 Service charge 30245
Cash (A)
Debit Credit
May 1300
May 37535 May 3 #2
95 May 4 #3
125 May 8 #4
45 May 11 #5
40 May 21 #6
May 2930050 May 29 #7
May 3020080 May 30 #8
May 31405

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