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
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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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a The statement shows that the ending balance is 249591 b The deposit of 120... View full answer
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