Answer:
Adjusted in Cash balance per the bank record
bank balance $19,361
Add: Deposit intransit 1,650
21,011
Outstanding check (891)
Adjusted cash balance 20,120
Step-by-step explanation:
In order to calculate the adjusted cash balance in the bank record the deposit in transit will be added to the bank balance on the statement while the outstanding check will be deducted. Bank error shall be corrected in cash book side of the reconciliation.