Answer and Explanation:
The preparation of the bank reconciliation statement is presented below:
Cottage Co.
Bank reconciliation statements
At December 31
Updates to Bank Statement Updates to Company books
Ending bank balance as per Ending bank balance as per Books
Bank statement $15,941 $18,367
Additions Additions
Deposit in transit $3,455 Mistake $55 ($870-$815)
Deductions Deductions
Outstanding checks -$2,271 Service charges - $45
NSF check -$1,252
Up to date ending balance Up to date ending balance
$17,125 $17125