Answer:
Adjusted cash balance per bank $10,439
Adjusted cash balance per book $10,439
Explanation:
Preparation of a bank reconciliation at August 31, 2022
Cash balance per bank statement $7,388
Add Deposit in transit $3,760
Less Outstanding check $709
Adjusted cash balance per bank $10,439
($7,388+$3,760-$709)
Cash balance per book $7,424
Add collection of electronic fund $3,076
Less bank service charge $61
Adjusted cash balance per book $10,439
($7,424+$3,076-$61)