Question: I need help with this question pls Use the following bank statement and T-account to prepare the May 31 bank reconciliation. BANK STATEMENT Date Checks

I need help with this question pls  I need help with this question pls Use the following bank

Use the following bank statement and T-account to prepare the May 31 bank reconciliation. BANK STATEMENT Date Checks DepositsOtherBalance May 1 $ 200 240 90 70 255 195 #2 $ 10 12 #4 100 28 #5 20 $50 NSF Check $50 30#615200 May 31 #8 55 Service charge 5 Cash (A) May 1 May 3 200 50 10 70 100 20 15 200 25 150 55 May 3 #2 May 4 #3 May 8 #4 May 11#5 May 21 #6 May 29 #7 May 30 #8 May 29 May 30 May 31 305 Bank Reconciliation May 31 Bank Statement Company's Books Ending Balance per Bank Statement Additions: 195 Ending Balance per Cash Account $ 5,800 Additions Deposit in Transit NSF Check Bank Service Charges 150 50 EFT Payment EFT Payment 4,000 4,000 205 400 8,000 13,800 Deductions Deductions

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