Answer:
the adjusted cash balance is $ 11,142
service charge expense 58 debit
cash 2868 debit
accounts receivables 2926 credit
--to record bank reconciliation--
Explanation:
CASH
Balance 8274
Service Charge -58
collection 2926
Adjusted Balance 11,142
BANK
Balance 8238
Outstanding Check -706
Deposit in transit 3610
Adjusted Balance 11,142