Carlos's current checkbook balance is $8,900.15. Carlos opened up the bank statement and saw the bank's balance at $7,000.10. After reviewing records with the bank statement, Carlos discovered a deposit on July 1 not recorded on the statement for $9,821.55. A check written for $7,986.05 had not been returned by the bank. This month the company earned interest of $33.10. The bank charged the company $48.10 for printing new checks. Carlos also discovered that a check written for $49.55 was not recorded in the check stubs. The reconciled balance is: