 Last time we had the report of this being our book balance as we could see on the balance sheet I'm sorry. This is not the book balance That is the statement balance as we could see on the January bank rec or bank statement and then we are reconciling items to get to the register balance which is on the balance sheet and That's those are the differences those differences then are down here So we see the detail of the unclear checks We would expect most of these that didn't clear in January to clear in February So we'll see those timing differences come through as we work on February's items, which we'll do now