Answer:
Bank reconciliation for the month ended July 31
Particulars Amount
Balance as per bank $7,943
Add: Deposit in transit $1,840
Less: Outstanding checks $600
Adjusted balance as per bank $9,183
Balance as per books $7,964
Add: Direct collections by bank $1,256
($1,240 + $45 - $29)
Less: Bank charges $37
Adjusted balance as per books $9,183