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Complete the following 2 exercises
1. Write checks to pay the following bills. The beginning balance in the checkbook is $4562.79.
NOTE: The checks are setup for you to manually type the necessary information to successfully complete the assignment.
A. Write check #5648 to the American Medical Association for $356.00 for new coding books.

B. Write Check #5649 to the Blackburn Utility Company for $46.90 to pay the water bill.

C. Write a check for the office mortgage payment to First National Bank, in the amount of $1,770.00. Use check #5650.

D. Write check #5651 to pay a pharmacy bill of $98.34.

E. Determine the balance of the account after the funds in questions A - D have been deducted.
Answer: ________$2,291.55_______________

2. Write checks to pay the following refunds. Use the ending balance from question E to determine the final balance in the checking account.
NOTE: The checks are setup for you to manually type the necessary information to successfully complete the assignment.
A. Ms. Patty Bailey should receive a refund in the amount of $34.55 for an overpayment. Use check #5652.

B. Write a check for Julie Smithy for $224.12. Her insurance company paid more than expected so she is entitled to a refund. Use check #5653.

C. Cindy Chan paid $10 more than she owed when she was seeing Dr. Hughes. Refund her money using check #5654.

D. Carter Graves decided to postpone his knee surgery when his wife suddenly became ill. Use check #5655 to refund his $500 deposit.

E. Determine the balance of the checking account after the funds in questions A - D have been deducted.
Answer: ______________$1,522.88__________

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