Bank Reconciliation Worksheet
____________________________________
Chapter
___________________________
Date
Balance per bank statement
$ ___________
Add deposits not recorded on statement
+ $ ___________
Deduct outstanding checks:
Check #
Payee
Amount
________
_____________________________
_______
________
_____________________________
_______
________
_____________________________
_______
________
_____________________________
- $ ___________
_______
Adjusted bank balance
$ ___________
Balance per books
$ ___________
Add interest earned
+ $ ___________
Deduct bank service charge
- $ ___________
Adjusted book balance
$ ___________
The adjusted bank balance must equal the adjusted book balance.
Revised 1/2006