new market press bank statement at august 31, 2012 showed an ending balance of 47,333.74 the unadjusted cash account balance for new market is 34,925.96. the following data were gathered by new market's accountant;check number 2130 was correctly written for 245. it was recorded in the companies books as $425 for equipment repair.check number 2143 was correctly written for $427. it was recorded in the company's books as $742 for utilities.outstanding checks as of august 31: $19,257.41NSF check from customer: $98.63Debit memo related to the returned deposit: $16.00Credit memo related to interest earned: $20.00Deposits in transit: $7,250.00