ared has a checking account. The bank charges 15¢ for each debit card transaction, 25¢ for each check, and $2.25 for each nonban
k ATM transaction. Jared tried to balance his check register, but his balance did not match the balance on his bank statement. What was Jared’s error? Check register with all Withdrawal, Deposit, Balance amounts in dollars and cents. First row - Date January 10, Transaction opening balance, Balance 120.00. Second row - Check number 1002, Date January 12, Transaction club dues, Withdrawal 15.00, Balance 105.00. Third row - Date January 17, Transaction cash from nonbank ATM, Withdrawal 20.00, Balance 85.00. Fourth row - Date January 17, Transaction ATM fee, Withdrawal 2.25, Balance 82.75. Fifth row - Date January 25, Transaction allowance, Deposit 10.00, Balance 92.75. Sixth row - Date January 30, Transaction paycheck, Deposit 25.00, Balance 117.75 A. He did not include the club dues. B. He forgot to record and subtract the fee for writing a check. C. He did not need to subtract an ATM fee.