Answer:
$5,021
Step-by-step explanation:
The bank reconciliation is as shown below;
Amount in $
Balance per bank statement XXXX
Deposit in transit 2,080.00
Outstanding check (660.00)
Bank charges 39.00
NSF Check 405.00
EFT deduction 660.00
Book balance 6,125.00
Bank charges (39.00)
NSF Check (405.00)
EFT deduction (660.00)
Adjusted book balance 5,021.00
The elements to be adjusted are bank charges, NSF check and EFT deduction.