On May 1, 2004 the Jones Company received the bank statement that showed $2,950 balance. Mr. Jones showed $4,010 checking account balance. The bank didn't return check No. 124 for $1080 and check No. 138 for $720. A $3,200 deposit made on
April 30 was in transit. The bank charged Mr. Jones $12 for the check printing and $18 for an NSF check. Mr. Jones forgot to record $30 withdrawal at the ATM. The bank also gathered a $400 note for Mr. Jones. Find out the reconciled balance.
Select one:
a. 4350 dollars
b. 3450 dollars
c. 4320 dollars
d. 3950 dollars