Answer:
$1326
Step-by-step explanation:
Follow the format of the reconciliation statement
The adjusted cash balances should match
Cash balance as per the bank statement, January 31 Â Â Â Â 1421.95
Add: Deposit in transit                              100.05
Deduct: Outstanding checks                          (196)
Adjusted cash balance                               1326
Balance as per depositor's record, January 31 Â Â Â Â Â Â Â Â Â Â 1202.5
Subtract: NSF check                                  (18)
Subtract: Service charges                             (8.5)
Add: receivable collected                              150
Adjusted cash balance                                1326
The reconciled amount is $1326.
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