Solution :
Bank Reconciliation
Particulars Amount($) Amount($)
Cash of balance as per bank statement 7063
Add : the deposit in transit 1899.15
the bank error - bridge check 341
2240.15
9303.15
Less : outstanding checks 285.25
Adjusted cash balance as per bank 9017.90
Cash of balance as per books 6833.90
Add : collection of notes receivable 2804
9637.90
Less : NSF check 475
Error in May, 12 transaction(902.15-952.15) 50
Error in recording - 1181 (684 -648) 36
Check printing charge 59
620
Adjusted cash balance as per books 9017.90