Please use the following information :
$2,417 - Balance per bank - June 30
$2,151 - Balance per books - June 30
$569 - Outstanding Checks
$802 - Deposits in Transit
$56 - NSF check
$35 - Bank service charge
$500 - Note collection
$90 - Interest earned on Note
How much are the total (additions and subtractions) to the Balance (per bank and book) amount and what is the reconciled cash amount that will be reported on the Balance Sheet?