Use the following bank statement and T-account to identify outstanding deposits that should be included in the May 31 bank
reconciliation.
Date
Checks
BANK STATEMENT
Deposits
Other
May 1
Balance
$ 200
May 4
May 12
May 28
May 30
May 31
2568
#2
$ 10
$ 50
240
#4
100
NSF check
$ 50
90
#5
20
70
#6
15
200
255
#8
55
Service charge
5
195
Cash (A)
Debit
Credit
May 1
May 3
200
50
10 May 3 #2
70 May 4 #3
100 May 8 #4
May
29
200
May 30
20 May 11 #5
15 May 21 #6
25 May 29 #7
150
55 May 30 #8
May 31
305
Outstanding Deposits
$
220

Use the following bank statement and Taccount to identify outstanding deposits that should be included in the May 31 bank reconciliation Date Checks BANK STATEM class=