Page 27 - Calculating Agriculture Cover 20191124 STUDENT - A
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CH 3]                           Calculating Agriculture                                3-17











                         PAUL  OVERLAND
                         LAURI  OVERLAND
                         1379 ELM ST.
                         WISTFUL VISTA, MO 64123‐6806


                     Your Adv Tiered Interest Chkg

                     For March 24, 20xx to April 20, 20xx                Account number: 0001 7261 1440
                     Paul Overland     Lauri Overland
                     Account summary
                     Beginning balance on March 24, 20xx     $8,057.18
                                                                                                                3
                     Deposits and other additions             9,514.61
                     ATM and debit card subtractions            - 0.00
                     Other subtractions                      - 2,428.33
                     Checks                                  - 3,825.11
                     Service Fees                               - 4.40
                     Ending balance on April 20, 20xx       $11,313.95
                     Deposits and other additions  (These are all Electronic deposits)
                     Date     Description                                                        Amount
                     03/30/xx   Ashland Mines DES: Payroll  ID: 000693598  DNDN: Paul Overland CO    5,708.77
                              ID: 1952486735
                     03/30/xx    Wistful Vista Medical Grp  DES: Payroll ID: 18976295  INDN: Lauri Overland  CO    3,805.84
                              ID: 659318709
                     Total deposits and other additions                                       $9,514.61
                     Withdrawals and other subtractions
                     Other subtractions  (These are electronic transfers of funds)
                     Date     Description                                                        Amount
                     03/31/xx   BANK OF AMERICA MORTGAGE Bill Payment                          -1,450.00
                     04/10/xx   BANK OF AMERICA CREDIT CARD Bill Payment                        -600.00
                     04/10/xx   VZ WIRELESS VW  DES: VZW WEBPAY ID:802642 INDN PAUL OVERLAND    -175.55
                     04/10/xx   EDISON CO DES:BILL PAYMENT IX:XXXXXXXINDN:PAUL OVERLAND         -124.00
                     04/10/xx   GAS CO. DES; PAID GC  ID:193813529  IDN:3016147407985429         -78.78
                     Total other subtractions                                                 -$2,428.33
                     Checks

                     Date        Check #            Amount       Date       Check #             Amount
                     03/31/xx    5434               -399.00      04/04/xx   5525 *            -2,674.00
                     04/07/xx    5435               -160.00      04/04/xx   5526               -127.00
                     04/06/xx    5436               -189.11      04/10/xx   5527               -276.00
                                                                 Total checks                -$3,825.11
                                                                 Total # of checks                  6

                     * There is a gap in sequential check numbers

                                    Figure 3.10       A Bank Statement
                     Dates in a banks statement for transactions reflect when the transaction cleared the bank.
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