trans typ./ check no. date description of transaction payment/ debit (-) deposit/ credit (+) balance\n1,200…

trans typ./ check no. date description of transaction payment/ debit (-) deposit/ credit (+) balance\n1,200 00\n324 10/6 millers food market 45.87 45 87\ngroceries 1,154 13\n325 10/7 cyber center computer outlet 218.59 218 59\nmonitor 935 54\n326 10/9 sandys beauty salon 30.00 30 00\nhaircut and styling 900 59\ndeposit 10/10 paycheck 621.33 621 33\n1,621 92\nevaluate leslies check register.\na. leslie did a good job. everything is correct.\nb. the final balance is wrong; she did not add everything correctly.\nc. leslie should have written debit instead of deposit for the transaction type.\nd. leslie switched the debit and credit columns.
Answer
Explanation:
Step1: Start with initial balance
Initial balance = $1200.00$
Step2: Subtract first debit
$1200.00 - 45.87=1154.13$
Step3: Subtract second debit
$1154.13 - 218.59 = 935.54$
Step4: Subtract third debit
$935.54-30.00 = 905.54$
Step5: Add deposit
$905.54+621.33 = 1526.87$
The final balance calculated ($1526.87$) is different from the balance in the register ($1621.92$). So the final balance is wrong; she did not add everything correctly.
Answer:
B. The final balance is wrong; she did not add everything correctly.