Answer:
To treat this in the bank reconciliation, the difference of $45 is deducted from the balance per bank.
Explanation:
Based on the information given;
The amount recorded (as a deduction) in the books was in excess of $45 being the difference between the actual amount $749 and the erroneous amount recorded $794.
As such, to reconcile the bank statement balance to the balance in the books, the difference $45 is deducted from the balance per bank.
However, in the computation of the book balance the excess amount $45 is added to the book balance to correct the error.