JDS gathered the following reconciling information in preparing its October bank reconciliation: Cash balance per books, October 31 of $15,500, Bank service charge of $1,010, Outstanding cheques of $11,000, Deposits in transit of $13,200, Electronic collection of account of $4,000, NSF cheque of $1,100. The adjusted cash balance per books at October 31 is
Options:
a. $17,390
b. $17,290
c. $14,380
d. $19,500