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Chapter 2 lesson 1 review

Total questions: 10

Worksheet time: 5mins

Name
Class
Date
1.

Mitchell has a balance of $1,200 in his First State Bank checking account. He deposits a

$387.89 paycheck, a $437.12 dividend check, and a personal check for $250 into his account.

He wants to receive $400 in cash. How much will he have in his account after the transaction?

a)

$1,875.01

b)

$1,975.01

c)

$1,900.01

d)

$1,800.10

2.

Meg has a total of d dollars in her checking account. She makes a cash deposit of c dollars

and a deposit of three checks each worth s dollars. She would like e dollars in cash from this

transaction. She has enough money in her account to cover the cash received. Express her

new checking account balance after the transaction as an algebraic expression.

a)

d + 2c + 3s – e

b)

d + c + 3s – e

c)

d + c + 2s – e

d)

d - c - 3s + e

3.

Neal deposited a $489.50 paycheck, an x dollar stock dividend check, a y dollar rebate check,

and $85 cash into his checking account. His original account balance was w dollars. Assume

each check clears. Write an expression for the balance in his account after the deposits?

a)

w + 574.50 - x + y

b)

w - 574.50 - x - y

c)

w + 574.50 + x + y

d)

w - 574.50 + x + y

4.

Elaine has m dollars in her checking account. On December 8, she deposited $1,200, r dollars,

and $568.90. She also cashed a check for t dollars and one for $73.70. Write an algebraic

expression that represents the amount of money in her account after the transactions.

a)

m + 1,695.20 + r + t

b)

m + 1,695.20 - r – t

c)

m - 1,695.20 + r – t

d)

m + 1,695.20 + r – t

5.

Del and Jen have a joint checking account. Their balance at the beginning of October was

$6,238.67. During the month they made deposits totaling d dollars, and wrote checks totaling

$1,459.98, paid a maintenance fee of z dollars and earned b dollars in interest on the

account. Write an algebraic expression that represents the balance at the end of the month.

a)

4,778.69 + d – z + b

b)

4,778.69 - d – z + b

c)

4,778.69 + d + z + b

d)

4,778.69 + d – z - b

6.

New Merrick Bank charges a $21-per-check overdraft protection fee. On June 5, Lewis

had $989.00 in his account. Over the next few days, the following checks were submitted

for payment at his bank: June 6, $875.15, $340.50, and $450.63; June 7, $330; and June 8,

$560.00.

a. How much will he pay in overdraft protection fees?

a)

$84

b)

$98

c)

$100

d)

$68

7.

New Merrick Bank charges a $21-per-check overdraft protection fee. On June 5, Lewis

had $989.00 in his account. Over the next few days, the following checks were submitted

for payment at his bank: June 6, $875.15, $340.50, and $450.63; June 7, $330; and June 8,

$560.00.

b. How much will he owe the bank after June 8?

a)

$1,851.13

b)

$1,651.13

c)

$1,641.13

d)

$2,651.13

8.

Dean has a checking account at City Center Bank. During the month of April, he made

deposits totaling $2,458.52 and wrote checks totaling $789.23. He paid a maintenance fee of

$25 and earned $3.24 in interest. His balance at the end of the month was $4,492.76.

What

was the balance at the beginning of April?

a)

$2,845.23

b)

$3,845.23

c)

$2,945.23

d)

$2,800.23

9.

Bellrose Bank charges a monthly maintenance fee of $17 and a check writing fee of $0.05 per

check. Last year, Patricia wrote 445 checks from her account at Bellrose. What was the total of

all fees she paid on that account last year?

a)

$326.25

b)

$226.25

c)

$236.25

d)

$426.25

10.

Allison currently has a balance of $2,300 in her checking account. She deposits

a $425.33 paycheck, a $20 rebate check, and a personal check for $550 into her

checking account. She wants to receive $200 in cash. How much will she have in

her account after the transaction?

a)

$4,095.33.

b)

$3,095.33.

c)

$2,095.33.

d)

$3,295.33.