Answer:
Correct ending balance_______ 7835
Explanation:
Cash 7824
Books
Cash receipts pending on bank__-3218
Checks written_______________1305
Banks
Bank service fee______________-23
Interest earned________________34
Bank conciliation___________--5922
Bank account_______________5922
Balance cash_______________ 7824
Adjust Bank service fee_________-23
Adjust Interest earned___________34
Correct ending balance_______ 7835