Assignment:
The bank statement for Burton Co. revealed a balance of $1,475.00 while the checkbook balance showed a balance of $1,822.00. Outstanding checks totaled $185.00. A check printing charge of $35.00 appeared on the bank statement. There was a $76.00 NSF check reported on the bank's statement. A deposit in the amount of $735.00 was not yet credited. What was Burton Co.'s reconciled balance?
Provide complete and step by step solution for the question and show calculations and use formulas.