Respuesta :
Answer:
Bank Reconciliation Statement as at August 31
Balance at Bank as per Updated Cash Book $2,281
Add Unpresented Cheques $2,250
Less Lodgements not yet credited ($1,900)
Balance as per Bank Statement $2,631
Explanation:
Step 1 Bring the Cash Book Bank Balance up to date
Debit :
Balance as at August 31, $860
Interest $12
NSF check $32
Direct deposit $1400
Totals $2,304
Credit :
Service fee charged $8
Insurance understated $15
Updated Cash Book Balance (Balancing figure) $2,281
Totals $2,304
Step 2 Prepare the Bank Reconciliation Statement
Bank Reconciliation Statement as at August 31
Balance at Bank as per Updated Cash Book $2,281
Add Unpresented Cheques $2,250
Less Lodgements not yet credited ($1,900)
Balance as per Bank Statement $2,631