Larry received the bank statement below. Checking Account Statement Account Number: 1234-1212Checks date check no. amount9/5 317 $58.299/16 319 $75.409/25 320 $121.57Other Activity date transaction amount9/11 Debit Card $33.529/15 Deposit $250.009/30 Deposit $250.00Balances Opening Balance $750.00Closing Balance $961.22Larry's checkbook has a balance of $922.63. What is most likely the reason that Larry's balance is different from the bank's balance?Answers belowLarry made a mistake in his addition.The bank forgot to include fees.Larry forgot to write down some deposits.Check 318 was not cashed or deposited.

Accepted Solution

Check 318 was not cashed or deposited is the answer.