13 . a company's cash account shows an ending balance of 4800. reconciling items included a bookkeeper error of 105 (a 525 check recorded as 630), two outstanding checks totaling 820, a service charge of 30, a deposit in transit of 260 , and interest revenue of 33. what is the adjusted book balance? a. 4240 b. 4908 c. 5360 d. 4692