Answer:
(1) $11,080.00
(2) Journalized entries
Debit Bank charges account $20
Credit Cash account $20
Being entries to recognize bank charges for the month.
Debit Account fee account $35
Credit Cash account $35
Being entries to recognize Account fee charged for the month.
Explanation:
The bank reconciliation statement is as stated below.
Amount in $
Balance per bank statement 11,237.00
Deposit in transit 4,250.00
Outstanding check (287.00)
Note receivable collected (4,000.00)
Interest revenue (120.00)
Bank charges 20.00
Account fee 35.00
Book balance 11,135.00
Bank charges (20.00)
Account fee (35.00)
Adjusted book balance 11,080.00
The bank charge and account fee are the transactions that will be adjusted for.
To adjust these items
Debit Bank charges account $20
Credit Cash account $20
Being entries to recognize bank charges for the month.
Debit Account fee account $35
Credit Cash account $35
Being entries to recognize Account fee charged for the month.