Please refer to the following bank reconciliation: BANK Balance, June 30,2014 ADD: Deposit in transit LESS: Outstanding Check# 506 Outstanding Check# 510 Adjusted balance, June 30,2014 $10,241.435,113.40(1,948.52)(1,800.25)$11,606.06 BOOK Balance, June 30,2014 ADD: Note collected by bank Interest revenue LESS: NSF check Bank service charge Adjusted balance, June 30,2014$9,745.061,900.0075.00(79.00)(35.00)$11,606.06
- Please prepare the adjusting entry for the fourth reconciling item (bank service charge.)
Definitions: