Question: Use the check register from Exercise 1. It is now one month later, and the checking account statement has arrived. Does the account balance? Checking

Use the check register from Exercise 1. It is now one month later, and the checking account statement has arrived. Does the account balance?
Use the check register from Exercise 1. It is now

Checking Account Statement Date Description 12/12 Deposit 12/13 Deposit 12/19 W/D 12/19 W/D 12/20 W/D 12/21 W/D 12/24 ATM Withdrawal 12/24 ATM Fee 12/24 ATM Fe 01/15 WD Check # | Amount | Balance $240.80 $4,141.30 $100.00 $4,241.30 1223 $ 84.00 $4,157.30 1226 $215.60 $3,941.70 1225 $140.58 $3,801.12 1224 $480.21 $2,320.91 $300.00 $3,020.91 1.50 $3,019.41 $ 2.50 $3,016.91 1229 $521.00 $2,495.91 Ending Balance: $2,495.91 Ending balance from statement Deposits outstanding Checks outstanding Revised statement balance Balance from checkbook b. e.

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