Problema Solution
The check register of Moore Co. showed a beginning balance of $625.10. During the month, checks were written for $55.42, $38.29, and $66.75, while Moore made one deposit for $355.08. What is the end of the month balance?
Answer provided by our tutors
we subtract the check amounts and add the deposit:
625.10 - 55.42 - 38.29 - 66.75 + 355.08 = 819.72
the balance at the end of the month was $819.72