The ending bank statement balance at November 30 is $7,050. The bank statement shows a service charge of $85, electronic funds receipts of $500, and a NSF check for $350. Deposits in transit total $2,350 and outstanding checks are $1,435. The balance per books at November 30 is $7,900. What is the adjusted bank balance at November 30?
A. $8,815
B. $7,050
C. $7,115
D. $7,965