12 . the following information is needed to reconcile the cash balance for gourmet catering services. * a deposit of $5,700 is in transit. * outstanding checks total $1,000. * the book balance is $6,500 at february 28, 2025. * the bookkeeper recorded a $1,700 check as $17,200 in payment of the current month's rent. * the bank balance at february 28, 2025 was $15,720. * a deposit of $200 was credited by the bank for $2,000. * a customer's check for $3,300 was returned for nonsufficient funds. * the bank service charge is $80. what was the adjusted book balance? a. $15,800 b. $18,700 c. $18,780 d. $18,620