Checking Account and Debit Card Simulation



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Checking Account and Debit Card Simulation Student Assessment Answer Key Introductory Level

Directions Step One: View s monthly transactions described below and complete all necessary transactions using the information on pages 3-10. September 2 - Endorse Sally s September paycheck for $154.01 from Piggly Wiggly with a blank endorsement and complete the deposit slip. September 4 - Record a debit card transaction for $15.78 at Gas N Go for fuel in the check register. September 6 - Write check #501 to The Pizza Place for pizza for $9.50 and record in the check register. September 10 - Write check #502 to George s Fast Food for food for $3.99 and record in the check register. September 13 - Record ATM transaction for $20.00 cash in the check register. September 15 - Record a debit card transaction at Gas N Go for fuel for $16.92 in the check register. September 18 - Write check #503 for a video rental at The Main Video for $5.00 and record in the check register. September 23 - Endorse the birthday gift check for $40.00 from Paula Smith with a restricted endorsement into bank account 123456789 and complete the deposit slip. September 27 - Record a debit card transaction in the check register for dinner at JR s Café for $12.50. September 29 - Record a debit card transaction in the check register for purchasing food at Super Mart for $14.75. September 30 - Write check #504 for $30.00 to Student Activities to pay for an activity ticket and record in the check register. Step Two: Reconcile Sally s September bank statement using her completed check register and information on page 9 and 10. Step Three: Answer all review questions on page 11 and 12. Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 2

September Paycheck & Deposit Slip Piggly Wiggly Main Street 45086244786 September 2, 2006 1234 Pay to the Memo September Paycheck Piggly Wiggly 0123456789 : 0987654321 : 1234 Piggly Wiggly Pay Period 8/1/2006-8/31/2006 Employee Smith, Sally Employee Address Hours Worked 30.00 Hourly Rate $6.00 One Hundred Fifty-Four and 01/100 SSN 000-00-0000 Check # 1234 Check Amount $154.01 Pay Type- Deductions Current Year-to-date Gross Pay $180.00 Federal Withholding $7.50 $120.00 State Withholding $4.72 $75.52 Social Security $11.16 $178.56 Medicare $2.61 $41.76 Totals $25.99 $415.84 $154. 01 Endorse Here X DO NOT WRITE, STAMP OR SIGN BELOW THIS LINE RESERVED FOR FINANCIAL INSTITUTION USE Deposit Slip September 2, 2006 SIGN HERE FOR CASH RECEIVED 0123456789 : 1234567890 " DEPOSITS CASH Cents CHECKS List Singly Piggly Wiggly #1234 154 01 Total From Other Side SUBTOTAL 154 01 * Less Cash Received NET DEPOSIT $154 01 Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 3

Debit Card Receipt & Checks 501-502 Debit Card Receipt September 4, 2006 Gas N Go $15.78 Thank You For Your Business! September 6, 2006 501 Pay to the The Pizza Place $ 9. 50 Memo Nine and 50/100 Pizza 0123456789 : 1234567890 : 501 September 10, 2006 502 Pay to the Order Of George s Fast Food $ 3. 99 Three and 99/100 Memo Food 0123456789 : 1234567890 : 502 Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 4

ATM Receipt, Debit Card Receipt & Check 503 ATM Receipt September 13, 2006 Machine Location: Guardian Angel Bank Cash Withdraw from Checking Account $20.00 Debit Card Receipt September 15, 2006 Gas N Go $16.92 Thank You For Your Business! September 18, 2006 503 Pay to the Order Of The Main Video $ 5. 00 Five and no/100 Memo Video Rental 0123456789 : 1234567890 : 503 Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 5

Birthday Money & Deposit Slip Paula Smith 700 Friendly Boulevard 99-123-4789 78945612377 September 20, 2006 5678 Pay to the Order of: $40. 00 Memo Forty and no/100 Birthday Gift 0123456789 : 1212121212 : 5678 Paula Smith Endorse Here X For Deposit Only Acct. # 123456789 DO NOT WRITE, STAMP OR SIGN BELOW THIS LINE RESERVED FOR FINANCIAL INSTITUTION USE Deposit Slip September 23, 2006 SIGN HERE FOR CASH RECEIVED DEPOSITS 0123456789 : 1234567890 " 45086244786 CASH Cents CHECKS List Singly Paula Smith #5678 40 00 Total From Other Side SUBTOTAL 40 00 * Less Cash Received NET DEPOSIT $40 00 Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 6

Debit Card Receipts & Check 504 Debit Card Receipt September 27, 2006 JR s Cafe $12.50 Thank You For Your Business! Debit Card Receipt September 19, 2006 Super Mart $14.75 Thank You For Your Business! September 30, 2006 504 Pay to the Order Of Student Activities $ 30. 00 Thirty and no/100 Memo Activity Ticket 0123456789 : 1234567890 : 504 Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 7

Check Register Number Description of Transaction Payment/Debit (-) Deposit/Credit (+) Fee (If Any) Balance T $100.00 9/2 DEP Deposit 154 01 154 01 September Paycheck 254 01 9/4 DC Gas N Go 15 78 15 78 fuel 238 23 9/6 501 The Pizza Place 9 50 9 50 pizza 228 73 9/10 502 George s Fast Food 3 99 3 99 food 224 74 9/13 ATM Cash 20 00 20 00 cash 204 74 9/15 DC Gas N Go 16 92 16 92 fuel 187 82 9/18 503 The Main Video 5 00 5 00 video rental 182 82 9/23 DEP Deposit 40 00 40 00 Birthday gift 222 82 9/27 DC JR s Cafe 12 50 12 50 dinner 210 32 9/29 DC Super Mart 14 75 14 75 food 195 57 9/30 504 Student Activities 30 00 30 00 Activity ticket 165 57 Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 8

September 2006 Statement Statement For: This Statement Covers: 9/1/06 through 9/30/06 Checking Account #1234567890 Opening Account Balance on 8/31 $100.00 Total Deposits $194.01 + Total Withdrawals $ 83.69 - New Balance $ 210.32 Deposits and Other Credits Posted Transaction Amount 9/3 Deposit at South 15th Branch $154.01 9/25 Deposit at South 15th Branch $ 40.00 Total Deposits $194.01 Withdrawals Posted Check # Amount 9/5 Debit Card Gas N Go $ 15.78 9/9 501 $ 9.50 9/11 502 $ 3.99 9/14 ATM Cash $ 20.00 9/16 Debit Card Gas N Go $ 16.92 9/19 503 $ 5.00 9/28 Debit Card JR s Café $ 12.50 Total Withdrawals $ 83.69 Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 9

Reconciling September 2006 Worksheet Reconciling a Checking Account Withdrawals Outstanding Number Amount Deposits Outstanding Amount DC 14 75 504 30 00 Total 44 75 Total 0 00 ENTER Bank Statement Balance $ 210.32 ADD (+) Outstanding Deposits $ SUBTOTAL (=) $ SUBTRACT (-) Outstanding Withdrawals $ 0.00 210.32 44.75 CALCULATE (=) Total should be the same as the checkbook register $ 165.57 Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 10

Review Questions 1. Describe what is written on the back of a deposit slip. Checks to be deposited. Checks are listed with the check number and the individual s name whom the check is from. Calculate the total of all checks listed on the back, write in the total row and transfer the total amount to the front side of the deposit slip. 2. When signing a check, why should an individual sign his/her name in cursive writing? A signature in cursive writing is more difficult to copy. This helps protect the account holder from others fraudulently copying their signature to write checks out of their checking account. 3. Why is it important to record all transactions in the check register? In order to keep an accurate record of money spent and deposited, all transactions including deposits, checks, ATM/debit card transactions, and additional bank fees need to be recorded immediately after the transaction is complete. 4. Why would transactions completed on the last day of the month be outstanding on the bank statement? Transactions may occur between the time the bank statements were prepared, mailed and delivered to the account holder. 5. What is the most difficult step in reconciling a checking account? Answers will vary. Take Charge Today April 2006 Checking Account & Debit Card Simulation Page 11