30 Carla is preparing her bank reconciliation. The bank balance in her general ledger is $3,750 credit. The only items which need to be dealt with are: (i) a cheque for $2,466 issued to a supplier which has not yet appeared on the bank statement; (ii) a cheque receipt from a credit customer of $1,701 has been dishonoured, Carla has not yet recorded this (iii) Bank charges of $735 have been debited by the bank, but not yet recorded by Carla What is the closing balance on Carla’s bank statement?