Math  /  Word Problems

QuestionOrganize these transactions by date, then calculate your balance after each:
1. Apr 29: balance \$237.47
2. Apr 29: write check \#115 for \$18.00
3. Apr 30: paycheck \$62.75
4. May 4: deposit check from grandma \$25.00
5. May 5: ATM withdrawal \$20 + \$3 fee
6. May 12: write check \#116 for \$51.16
7. May 10: receive \$20 from sister
8. May 12: ATM withdrawal \$525
9. May 16: deposit paycheck \$265.65
10. May 12: deposit birthday check \$35 (received on May 12, deposited on May 17)

Studdy Solution
Calculate the final balance after the check is deposited.
BalanceMay17=$493.71+$35.00=$528.71Balance_{May17} = \$493.71 + \$35.00 = \$528.71The final balance on May17 is $528.71.

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