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Mitchell has a balance of $1,200 in his First State Bank checking account. He deposits a $387.89 paycheck, a $437.12 dividend check, and a personal

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Mitchell has a balance of $1,200 in his First State Bank checking account. He deposits a $387.89 paycheck, a $437.12 dividend check, and a personal check for $250 into his account. He wants to receive $400 in cash. How much will he have in his account after the transaction? Neal deposited a $489.50 paycheck, an x dollar stock dividend check, a y dollar rebate check, and $35 cash into his checking account. His original account balance was w dollars. Assume each check clears. Write an expression for the balance in his account after the deposits? Bellrose Bank charges a monthly maintenance fee of $17 and a check-writing fee of $0.05 per check. Last year, Patricia wrote 445 checks from her account at Bellrose. What was the total of all fees she paid on that account last year? Create a check register for the transactions listed. a. Your balance on 1/5 is $822.67. b. You write check 1076 on 1/6 for $600.00 to Excel Health Club. c. You deposit a paycheck for $227.45 on 1/1 1. 11. You deposit a $50 rebate check on 1/15. a. 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. 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. 9. 0n 1/21l you made a debit card purchase at Stacy's Store for $134.87. h. Your friend gave you the $1,300 he owed you and you deposit it on 1/22. i. You write the next check on 1/23 to iBiz for $744.24 for a new computer. j. You deposit your paycheck for $227.45 on 1/2 3. k. On 1/24, you withdraw $50 from the ATM affiliated with your bank. There are no fees. |. On 1/24, you write the next check for $75.00 to iTel Wireless. m. On 1/25, you write a check for $120 concert tickets to Ticket King. Pina filled out the following information on the back of her monthly statement: Ending balance from statement $1,139.78 Deposits outstanding +$280.67 Total of checks outstanding $656.91 Revised statement balance $ Balance from checkbook $763.54 Find Pina's revised statement balance. Does her account reconcile

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