Answer:
Bank account reconciliation:
bank account balance $27,607
- outstanding checks ($4,369)
+ deposits in transit $10,132
reconciled balance $33,370
Cash account reconciliation:
cash account balance $25,199
- error in processing check no. 3056 ($10)
+ collection of note $9,000
- NSF check ($805)
- bank fees ($14)
reconciled balance $33,370
adjusting journal entries:
Dr Rent expense 10
Cr Cash 10
Dr Cash 9,000
Cr Notes receivable 9,000
Dr Accounts receivable 805
Cr Cash 805
Dr Miscellaneous expenses 14
Cr Cash 14