Kate Brown recorded the following transactions in a general journal during the month of March.

Mar. 4

Cash

2,280

Service Revenue

2,280

Mar. 15

Wages Expense

400

Cash

400

Mar. 19

Utilities Expense

92

Cash

92

Post these entries to the Cash account of the general ledger to determine the ending balance in cash.The beginning balance in cash on March 1 was $600.