Answer:
The question is missing the first part and I couldn't find any other question that has the same numbers.
when you are reconcile the bank account:
add deposits in transit $3,428
add the check from another company that was incorrectly canceled $325
subtract outstanding checks ($2,565)
reconciled bank account = X + $1,188
to reconcile the cash account:
add collection of note receivable $1,500
subtract collection fee ($25)
subtract the NSF check ($100)
subtract bank processing fees ($25)
subtract cost of printing checks ($15)
reconciled cash account = Y + $1,335