9. create a check register for the transactions listed.\n a. your balance on 1/5 is $822.67.\n b. you write…

9. create a check register for the transactions listed.\n a. your balance on 1/5 is $822.67.\n b. you write check 1076 on 1/6 for $600.00 to excel health club.\n c. you deposit a paycheck for $227.45 on 1/11.\n d. you deposit a $50 rebate check on 1/15.\n e. on 1/16, you begin writing a donation check to clothes for kids but make an error and have to void the check. you write the very next check for $100 to this organization.\n f. on 1/20, you withdraw $200 from the atm at the mall. the company owning the atm charges you $3.50 and your bank charges you $2.50 for the atm transaction.\n g. on 1/21, you made a debit card purchase at stacys store for $134.87.\n h. your friend gave you the $1,300 he owed you and you deposit it on 1/22.\n i. you write the next check on 1/23 to ibiz for $744.24 for a new computer.\n j. you deposit your paycheck for $227.45 on 1/23.\n k. on 1/24, you withdraw $50 from the atm affiliated with your bank. there are no fees.\n l. on 1/24, you write the next check for $75.00 to itel wireless.\n m. on 1/25, you write a check for $120 concert tickets to ticket king.

9. create a check register for the transactions listed.\n a. your balance on 1/5 is $822.67.\n b. you write check 1076 on 1/6 for $600.00 to excel health club.\n c. you deposit a paycheck for $227.45 on 1/11.\n d. you deposit a $50 rebate check on 1/15.\n e. on 1/16, you begin writing a donation check to clothes for kids but make an error and have to void the check. you write the very next check for $100 to this organization.\n f. on 1/20, you withdraw $200 from the atm at the mall. the company owning the atm charges you $3.50 and your bank charges you $2.50 for the atm transaction.\n g. on 1/21, you made a debit card purchase at stacys store for $134.87.\n h. your friend gave you the $1,300 he owed you and you deposit it on 1/22.\n i. you write the next check on 1/23 to ibiz for $744.24 for a new computer.\n j. you deposit your paycheck for $227.45 on 1/23.\n k. on 1/24, you withdraw $50 from the atm affiliated with your bank. there are no fees.\n l. on 1/24, you write the next check for $75.00 to itel wireless.\n m. on 1/25, you write a check for $120 concert tickets to ticket king.

Answer

Explanation:

Step1: Comenzar con el saldo inicial

El saldo inicial el 1/5 es de $822.67.

Step2: Restar el monto del primer cheque

El 1/6 se escribe el cheque 1076 por $600.00. El nuevo saldo es $822.67 - $600.00 = $222.67.

Step3: Sumar el primer depósito de cheque de pago

El 1/11 se deposita un cheque de pago por $227.45. El saldo es $222.67+ $227.45 = $450.12.

Step4: Sumar el depósito del cheque de reembolso

El 1/15 se deposita un cheque de reembolso de $50. El saldo es $450.12 + $50 = $500.12.

Step5: Procesar el cheque de donación

El 1/16 se escribe un cheque de donación por $100. El saldo es $500.12 - $100 = $400.12.

Step6: Procesar el retiro de efectivo del ATM y cargos

El 1/20 se retira $200 del ATM, con un cargo de la compañía del ATM de $3.50 y un cargo del banco de $2.50. El saldo es $400.12-(200 + 3.50+2.50) = $194.12.

Step7: Restar la compra con tarjeta débito

El 1/21 se hace una compra con tarjeta débito por $134.87. El saldo es $194.12 - $134.87 = $59.25.

Step8: Sumar el depósito del dinero que le debe un amigo

El 1/22 se deposita $1300 que le debe un amigo. El saldo es $59.25 + $1300 = $1359.25.

Step9: Restar el cheque para iBiz

El 1/23 se escribe un cheque para iBiz por $744.24. El saldo es $1359.25 - $744.24 = $615.01.

Step10: Sumar el segundo depósito de cheque de pago

El 1/23 se deposita un cheque de pago por $227.45. El saldo es $615.01+ $227.45 = $842.46.

Step11: Restar el retiro de efectivo del ATM

El 1/24 se retira $50 del ATM sin cargos. El saldo es $842.46 - $50 = $792.46.

Step12: Restar el cheque para iTel Wireless

El 1/24 se escribe un cheque para iTel Wireless por $75. El saldo es $792.46 - $75 = $717.46.

Step13: Restar el cheque para Ticket King

El 1/25 se escribe un cheque para Ticket King por $120. El saldo final es $717.46 - $120 = $597.46.

Answer:

El saldo final en la cuenta después de todas las transacciones es de $597.46.