
Answer:
Cash account reconciliation:
Cash account balance                 $27,700
subtract bank fees                      ($110)
subtract NSF check                    ($580)
Reconciled balance                   $27,010
Bank account reconciliation:
Bank account balance                $26,000
subtract outstanding checks           ($5,700)
add deposits in transit                 $6,300
add error with Smith Company check       $410
Reconciled balance                   $27,010