CHECKBOOK BALANCING WORKSHEET
OUTSTANDING CHECKS OR WITHDRAWALS
CHECKBOOK RECONCILIATION
DATE OR NUMBER
AMOUNT
ENTER
BALANCE THIS STATEMENT
ADD
RECENT DEPOSITS
(NOT CREDITED ON THIS STATEMENT)
TOTAL
$
SUBTRACT
OUTSTANDING CHECKS
BALANCE
*
*
This number should agree with your own checkbook balance.
Remember to add interest earned and deduct charges included
TOTAL
on this statement and enter those in your checkbook register.
Please refer to the procedures outlined in your statement for reporting any discrepancies.