This document is a bank statement listing transactions between January 1st and June 30th. It shows deposits, withdrawals, fees, and the running balance. Some of the notable transactions include three deposits of $1000 each on January 1st, foreign transaction fees on several international payments, and a returned check fee of $35. The ending balance as of June 30th is $987.32.
This document is a bank statement listing transactions between January 1st and June 30th. It shows deposits, withdrawals, fees, and the running balance. Some of the notable transactions include three deposits of $1000 each on January 1st, foreign transaction fees on several international payments, and a returned check fee of $35. The ending balance as of June 30th is $987.32.
This document is a bank statement listing transactions between January 1st and June 30th. It shows deposits, withdrawals, fees, and the running balance. Some of the notable transactions include three deposits of $1000 each on January 1st, foreign transaction fees on several international payments, and a returned check fee of $35. The ending balance as of June 30th is $987.32.