Answer:
The adjusted cash balance is $ 13,700
Step-by-step explanation:
Balance per cash account $ 12,500
Less: NSF Cheque $ ( 160)
Less: Service charges $ ( 75)
Add: Correction of error ($1150 - $ 115) $ 1,435
Adjusted balance per cash account $ 13,700
The checks outstanding are checks issued by the Company and are recorded in the cash account and does not require an adjustment for cheques which are not presented.
Deposits collected are recorded in the cash book and does not need any adjustment.
NSF cheques is a cheque deposited which did not clear so an adjustment is needed.
Service charges by the bank also need to be recorded as an adjustment.
Amount wrongly recorded definitely needs to be adjusted