Answer:
The adjusted balance will be of $ 25,420
Explanation:
For the bank reconciliation we should post what is the unknow information for each party.
CASH
Balance 24,930
Service Charge -50
accounting mistake 540
(+710 to ammend the mistake - 170 real value of the check)
Adjusted Balance 25,420
BANK
Balance 26,420
Outstanding Check -5,060
Deposit in transit 4,060
Adjusted Balance 25,420