Answer:
Bank Reconciliation Statement
Balance at bank as per cash book $12,670
Add Unpresented Cheques $9,930
Less Lodgements not yet credited ($8,090)
Balance as per bank statement $14,510
Explanation:
Step 1 Bring the Cash Book (Bank Balance ) up to date
Debit :
Balance as per Cash Book, May 1 $13,240
Note Understated $330
Check returned $140
Totals $13,710
Credit:
Bank service $50
Check Returned ; Jennings Co $990
Balance (Updated) $12,670
Totals $13,710
Step 2 Prepare a Bank Reconciliation Statement
Bank Reconciliation Statement
Balance at bank as per cash book $12,670
Add Unpresented Cheques $9,930
Less Lodgements not yet credited ($8,090)
Balance as per bank statement $14,510