Answer:
Explanation:
From the given check register
Number of checks
checks on 3/15, 3/16, 3/24, 3/28, 4/10 so total numbers are 5.
Number of deposits
Deposits on 3/20 and 4/1 total numbers = 2
Previous balance
on 3/15 after a check with-drawl of $ 28.39 balance was $428.52
So previous amount in the account = 428.52 + 28.39 = $456.91
Total deposits
Deposits on 3/20 and 4/1 = 425.95 + 85 = $510.95
Total of checks
Total of checks on 3/15, 3/16, 3/24, 3/28, 4/10 = 28.39 + 57.56 + 158.28 + 199.39 + 89.50 = $533.12
Service charge
balance that should be in account after checks and deposits = balance before 3/15 - (checks - deposits) = 456.91 - (533.12 - 510.95) = $434.74
But the closing balance on 4/10 is 419.74
Therefore service charge charged by the bank = 434.74 - 419.74 = $15
Ending balance
Balance on 4/10 = 419.74