Answer: Please see explanation column for answers
Explanation:
RECONCILIATION BANK STATEMENT FOR JULY 31,2015.
Bank statement Balance $27,903
Add:
Deposit on July 31 $10,152
Deduct:
check 3031 $1,410
check 3065 $,481
check 3069 $ 2,178
Adjusted Bank Balance $33,986
Company Book Balance $25,860
Add:
proceeds of notes less collection charge $ 8,955
( $9000- $45)
Deduct:
NSF check fee $805
Bank Service charge $14
Error on check 3056 ( 1280-1270) $10
Adjusted book Balance $33,986