Brockton Carpet Cleaning prepares a bank reconciliation at the end of every month. At the end of July, the balance in the general ledger checking account was $2,870 and the bank balance on the bank statement was $3,040. Outstanding checks totaled $740 and deposits in transited were $460. The bank statement revealed that a check written for $180 was incorrectly recorded by Brockton as a $280 disbursement. The bank statement listed service charges and NSF check charges totaling $210. The corrected cash balance is: