In preparing its August 31, 2010 bank reconciliation, Adel Corp. has available the following information:
Balance per bank statement, 8/31/10 $21,650
Deposit in transit, 8/31/10 3,900
Return of customer's check for insufficient funds, 8/30/10 600
Outstanding checks, 8/31/10 2,750
Bank service charges for August 100
At August 31, 2010, Adel's correct cash balance is
A.$22,800.
B.$22,200.
C.$22,100.