Bolton Company’s October 31, 2017, bank statement showed a cash balance of $15,400, while the company’s general ledger Cash account for the same date showed a balance of $13,150. A bank deposit of October 31 for $1,200 does not appear on the bank statement. Cheques #150 for $980 and #169 for $2,515, both written in October, had not cleared the bank during October. Bank service charges for the month were $45. Prepare a bank reconciliation at October 31, 2017 and prepare the necessary entries.