enter the following transactions into richards checkbook register and state his ending balance: date type…

enter the following transactions into richards checkbook register and state his ending balance: date type description amount 03/01 check #204 blue sky apartments $455.00 03/05 dep payroll automatic deposit $390.36 03/08 debit bennys hamburgers and fries $9.20 03/15 check #205 car payment $251.59 03/19 dep payroll automatic deposit $390.36 a. $715.79 b. $1,009.81 c. $780.72 d. $880.24
Answer
Explanation:
Step1: Start with initial balance
The initial balance is $944.88$.
Step2: Subtract check #204 amount
$944.88 - 455.00=489.88$
Step3: Add payroll automatic deposit on 03/05
$489.88 + 390.36 = 880.24$
Step4: Subtract debit amount
$880.24-9.20 = 871.04$
Step5: Subtract check #205 amount
$871.04 - 251.59=619.45$
Step6: Add payroll automatic deposit on 03/19
$619.45+390.36 = 1009.81$
Answer:
b. $1,009.81$