The May 31 balance per bank statement was $12,400. The cash balance per books was $17,000. Outstanding checks amounted to $1,700, and deposits in transit were $4,800. The bank statement contained an NSF check for $1,100, a service charge for $50, and a debit memo for direct payment of the telephone bill of $350.
Required:Prepare a bank reconciliation to determine the true cash balance at May 31.Indicate how each of the required adjusting entries impact the financial statements.

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