Answer:
The reconciled balance is: $205.10
Step-by-step explanation:
The first step is to update the Cash Book Account Bank Balance as follows :
Debit :
Balance as per Cash Book $295.10
Interest Income $10.03
Totals $305.13
Credit:
Check Charges $2.95
Error $50.00
Balance as per updated Cash Book $252,18
Totals $305.13
Then, prepare the Bank Reconciliation Statement as follows :
Bank Reconciliation Statement
Balance at Bank as per Cash Book $252,18
Add Unpresented Cheques
Cheque 85 $90.80
Cheque 88 $108.10
Cheque 92 $156.82 $355.72
Less Bank Lodgements not yet credited ($402.80)
Balance as per Bank Statement $205.10
Therefore the Reconciled Balance is $205.10