1. Your balance on 8/15 is $2,309.70
2. On 8/15, you write check 1056 for $256 to Best Offer Inc.
3. On 8/16, you write a check for $86.50 to Dept. of Motor Vehicles and another check
for $334.90 to AutoWorld.
4. On 8/18, you use your Debit card to buy parts for your car for $234.81 at Car Nation.
5. On 8/20, you Deposit your paycheck in the amount of $1,200.80.
6. On 8/21, you write a check for $56 to Print Makers.
7. On 8/22, you write a check to buy some books for $145.78 at Book Bananza
8. On 8/23, you go out to eat and use your Debit card to pay $34.72 at Fast Freddy's
Fast Food.
9. Your grandparents send you a check for $150 which you deposit into your account
on 8/27.
10. On 8/30, you write a check to transfer money into your Rainy Day Savings Account
in the amount of $230 to Lincoln Savings Bank.
11. On 9/1, you go out to dinner at Pasta Pete's and pay with a check for $32.50.
12. On 9/2, you deposit a rebate check for $300.
What is the ending balance on your register?