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According to the check register of Pendrack Systems, the cash balance on July 1 was $1980.20. During the month, deposits of $230.99, $687.10, $315.20 were

According to the check register of Pendrack Systems, the cash balance on July 1 was $1980.20. During the month, deposits of $230.99, $687.10, $315.20 were made. Checks for $92.58, $314.53, $22.68, $212.73, $309.78, $78.13 were record.

After entering all the items in the check register, the bookkeeper found that the check recorded as $212.72 was actually written as $233.60. What is the correct cash balance? Do not round intermediate computation. Round your final answer to the nearest cent.

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