Answer:
Organic Foods Co.
Bank Reconciliation
August 31
Bank Statement
Bank Statement Balance $6,210
Add:
Deposit in transit $2,740
Correction of bank error $230 Â
Deduct;
Outstanding Checks $2,620
Adjusted Bank Balance $6,560
Cash Book
Book Balance $7,000
No Additions;
Deduct;
NSF Check $270
Bank Service Charges $170
Adjusted Book Balance  $6,560