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MMLU-Pro / 162 / On September 1, Mr. Blake received a statement for his checking account. The…
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category
business
question
On September 1, Mr. Blake received a statement for his checking account. The closing balance on the statement was
$1,810.50. Mr. Blake's checkbook shows a balance of $1,685.75. In comparing his check stubs to the statement, he notices that checks for amounts of 40.30, and 1.35 which does not appear on his checkbook stubs. Prepare a reconciliation statement for. Mr. Blake.Plain-text mathematical notation (without MathML)
On September 1, Mr. Blake received a statement for his checking account. The closing balance on the statement was $1,810.50. Mr. Blake's checkbook shows a balance of $1,685.75. In comparing his check stubs to the statement, he notices that checks for amounts of 60.80,40.30, and 25.00didnotappearonthestatement.Also,thestatementlistsaservicechargeof1.35 which does not appear on his checkbook stubs. Prepare a reconciliation statement for. Mr. Blake.
Original LaTeX notation
On September 1, Mr. Blake received a statement for his checking account. The closing balance on the statement was $1,810.50. Mr. Blake's checkbook shows a balance of $1,685.75. In comparing his check stubs to the statement, he notices that checks for amounts of $60.80, $40.30, and $25.00 did not appear on the statement. Also, the statement lists a service charge of $1.35 which does not appear on his checkbook stubs. Prepare a reconciliation statement for. Mr. Blake.
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stemez-Business
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