The ending bank statement balance at November 30 is $ 7,150 . The bank statement shows a service charge of $ 65 , electronic funds receipts of $ 500 , and a NSF check for $ 350 . Deposits in transit total $ 2,550 and outstanding checks are $ 1,735 . The balance per books at November 30 is $ 7,880 . What is the adjusted bank balance at November 30 ? A ) $ 7,150 B ) $ 7,235 C ) $ 7,965 D ) $ 8,695