Financial Accounting ? Project II. The bank portion of the bank reconciliation for the Louda Company at October 31, 2007 as as follows: LOUDA COMPANY Bank Reconciliation October 31, 2007 Cash balance per bank $12,367.90 Add: Deposits in transit 1,530.20 13,898.10 Less: Outstanding checks Check Number Check Amount 2451 $1,260.40 […]