Answer:
Balance at Bank $28,600
Less Unrepresented Checks
Outstanding checks ($7,000)
Add Uncleared Lodgement
Cash receipts $7,600
Error - check written $1,180
Balance $30,380
Adjusted Cash Book
Debits :
Balance before adjustments $30,300
NSF check $320
Credits :
Bank service charges $240
Balance c/d $30,380
Explanation:
The Cash Book sometimes fails to agree with the Bank Statement due to Timing Difference, Unrecorded Items and Errors in Cash Book or Bank Statement and these must be adjusted appropriately in the Cash Book and the Bank (Bank Statement)