The bank statement of Ali Co. Indicated a current balance of $32,900. 10. The current checkbook balance

indicated a balance of $34,509. 11. In the reconciliation process a deposit in transit for $6,821. 11 was !

discovered. Check number 600 for $3,988. 33 was outstanding. The statement also revealed an NSF of $110. 11

along with interest earned by Ali of $1,333. 88. The reconciled balance is: