The following information was available to the accountant of Scarlet Co. when preparing the monthly bank reconciliation:
Cash balance per bank statement $ 1,095 Cash balance per books (prior to reconciliation) 816 Outstanding check #643 622 Outstanding check #651 55 Bank service charges 37 Customer check returned by bank as NSF 80 Deposits in transit 310 Interest received from bank 29 The amount of cash that should appear on the balance sheet following completion of the reconciliation and adjustment of the accounting records is: