on april 30, the bank reconciliation of westbrook company shows

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on april 30, the bank reconciliation of westbrook company shows three outstanding checks: no. 254, $650; no. 255, $620; and no. 257, $410. the may bank statement and the may cash payments journal are shown below._div align="center"__img src="../image/images5/63-a (3910).png"/__/div_instructionsusing step 2 in the reconciliation procedure, list the outstanding checks at may31.
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