Answer:
Adjusted Cash Balance at 31 August 2022 = 9654
Explanation:
Bank Reconciliation Statement at August 31, 2022
Cash Balance as per Bank August 31, $7338
Add: Deposit in Transit $3010
Deduct: Outstanding Checks ($694 )
Adjusted Cash Balance $9,654
Cash Balance as per books, August 31, $7374
Add: Receivable collected by bank $2326
Less:Bank Service Charges ($46)
Adjusted Cash Balance $9,654