Using the following information: the bank statement balance is $4,886. the cash account balance is $5,049. outstanding checks amounted to $875. deposits in transit are $1,000. the bank service charge is $29. a check for $61 for supplies was recorded as $52 in the ledger. prepare a bank reconciliation for candace co. for may 31. candace co. bank reconciliation may 31 cash balance according to bank statement $fill in the blank 1 - select - - select - adjusted balance $fill in the blank 6 cash balance according to company's records $fill in the blank 7 $- select - - select - - select - adjusted balance $fill in the blank 13