Answer:
Bank Reconciliation statement:
Bank's cash balance = Per bank statement + Deposits outstanding - Checks outstanding
                 = $22,346 + $1,725 - $1,300
                 = $22,771
Therefore, bank balance per reconciliation is $22,771.
Company's cash balance = Per general ledger - service fees
                     = $22,810 - $39
                     = $22,771
Therefore, company balance per reconciliation is $22,771.