bank statement and relevant portions of Bernie Company's cash records for the month ended June are given below, Note that Cheque # was recorded incorrectly by the bookkeeper for office supples purchase Cheque # was recorded incorrectly by the bank.Bernie Company Cash Account InformationDateMayunExplanationCqDebitCroditDepositCheque Cheque JunCheque ChequeCheque Cheque$SSS JunDepositCheque JunChequelunCheque$JumDepositJunCheque JunChequeMun ChequeJun DepesitBalanceCheques ChargesBank StatementDeposits DateMayAmountsOpening balanceDateCreditsBalanceununJun JunJunJunJunJunJunSSSJunJunJunSCSC service chargeJunJunEnding balancePrepare a bank reconciliation, in proper format, on the next page. Record the required reconciliation entries. If you detach the page, please write your name on the page.