Explanation:
The preparation of the bank reconciliation statement is presented below:
Miller Co.
Bank reconciliation statement
August 31
Particulars Amount Particulars Amount
Bank cash balance $3,471 Company cash balance $3,844
Deposits in transit $824 Less: Error $9
($43 - $34)
Less: Outstanding Less: service fee -$90
Check -$550
Bank balance Company balance
After reconciliation $3,745 After reconciliation $ $3,745