SCENARIO: In this situation, prepare a bank reconciliation for Computer Services Company on the form below using the following information. Bank statement balance: $11,364.33 Checkbook balance: $12,623.75 Bank charges: service charge, $7.10 200 blank checks, $19.90 Deposits shown on bank statement: $500.00, $120.00, $405.20 Deposits shown in checkbook: $500.00, $120.00, $975.00, $405.20, $984.10 Checks not shown on bank statement: $8.45, $76.45, $80.78, $561.00 BANK RECONCILIATION WORKSHEET SEPTEMBER 30, 20XX