Title: Check Writing
1Check Writing
2Check Information
3Check Information
- ROUTING NUMBERS The nine-digit string of
numbers used to identify your bank to process the
transaction.
4Check Information
- ACCOUNT NUMBER The number used to identify your
unique account within the bank.
5Check Information
- CHECK NUMBER The number used to identify a
specific check within the sequence of the
register. It usually includes 3 or 4 digits.
6Check Information
- TRANSIT NUMBER or ABA NUMBER Used to list
checks for deposit.
7Check Writing
8Check Writing
- DATE Include the month, day and year you are
writing the check.
09/15 06
9Check Writing
- PAYEE Write the name of the person or business
on the line, Pay to the order of.
09/15 06
Athletic Shoe Company
10Check Writing
- AMOUNT IN NUMBERS Write the amount of the check
in numbers.
09/15 06
Athletic Shoe Company
55.63
11Check Writing
- AMOUNT IN WORDS Write the amount in words.
Start at the left, write any cents as a fraction,
and draw a line in the extra space.
09/15 06
Athletic Shoe Company
55.63
Fifty-Five and 63/100 ----------------------------
------------------
12Check Writing
- SIGNATURE Sign all checks the way you sign the
signature card.
09/15 06
Athletic Shoe Company
55.63
Fifty-Five and 63/100 ----------------------------
------------------
George Washington Doe
13Check Writing
- MEMO Use the memo area to note the reason for
the check.
09/15 06
Athletic Shoe Company
55.63
Fifty-Five and 63/100 ----------------------------
------------------
George Washington Doe
Running Shoes
14Check Register
15Check Register
- Check Register Dont forget to balance your
checkbook by filling out the check register.
16Check Register
- Enter the number of the check just issued in the
number column.
17Check Register
- Enter the date of the check in the date column.
18Check Register
- Write in the name of the person/company to whom
the check is being issued in the description
column.
19Check Register
- Enter the amount of the check in the
payment/debit column.
20Check Register
- Subtract the amount of the check from the
previous balance and enter the new amount in the
balance column.
21Recording a Debit Card Transaction
22Check Register
- Enter DBT in the number column.
NUMBER DATE DESCRIPTION OF TRANSACTION PAYMENT/ DEBIT (-) DEPOSIT/ CREDIT () BALANCE
July 1 Beginning Balance 600.00
DBT July 13 Walmart 25.64 574.36
23Check Register
- Enter the date of the transaction in the date
column.
NUMBER DATE DESCRIPTION OF TRANSACTION PAYMENT/ DEBIT (-) DEPOSIT/ CREDIT () BALANCE
July 1 Beginning Balance 600.00
DBT July 13 Walmart 25.64 574.36
24Check Register
- Write the company name in the description
column.
NUMBER DATE DESCRIPTION OF TRANSACTION PAYMENT/ DEBIT (-) DEPOSIT/ CREDIT () BALANCE
July 1 Beginning Balance 600.00
DBT July 13 Walmart 25.64 574.36
25Check Register
- Enter the amount of the transaction in the
payment/debit column.
NUMBER DATE DESCRIPTION OF TRANSACTION PAYMENT/ DEBIT (-) DEPOSIT/ CREDIT () BALANCE
July 1 Beginning Balance 600.00
DBT July 13 Walmart 25.64 574.36
26Check Register
- Subtract the amount of the transaction from the
previous balance and enter the new amount in
the balance column.
NUMBER DATE DESCRIPTION OF TRANSACTION PAYMENT/ DEBIT (-) DEPOSIT/ CREDIT () BALANCE
July 1 Beginning Balance 600.00
DBT July 13 Walmart 25.64 574.36
27Prepare the Deposit Slip and Record in the Check
Register
28Prepare the Deposit Slip and Record in the Check
Register
- Enter the date on which the deposit is being made
on the proper line.
29Prepare the Deposit Slip and Record in the Check
Register
- Enter any cash being deposited in the columns
next to the word cash. Remember, dollar
amounts go in the left-hand column and cents go
in the right-hand column.
30Prepare the Deposit Slip and Record in the Check
Register
- Write the ABA number from check on the line
provided and the amount of the check in the
columns provided.
31Prepare the Deposit Slip and Record in the Check
Register
- Add all money (cash and checks) to be deposited
and enter the amount on the subtotal line and
again on the bottom line.
32Prepare the Deposit Slip and Record in the Check
Register
- Enter the total amount of the deposit in the
check register. Since this entry is not a check,
nothing will be written in the Number column.
Enter the date of the deposit in the Date
column, the word Deposit in the Description
column, and the amount of the deposit in the
Deposit/Credit column.
33Prepare the Deposit Slip and Record in the Check
Register
NUMBER DATE DESCRIPTION OF TRANSACTION PAYMENT/ DEBIT (-) DEPOSIT/ CREDIT () BALANCE
July 1 Beginning Balance 600.00
DBT July 13 Walmart 25.64 574.36
Oct. 6 Deposit 316.92 891.28
34Prepare the Deposit Slip and Record in the Check
Register
- Add this amount to the previous balance and enter
the new total in the Balance column.
NUMBER DATE DESCRIPTION OF TRANSACTION PAYMENT/ DEBIT (-) DEPOSIT/ CREDIT () BALANCE
July 1 Beginning Balance 600.00
DBT July 13 Walmart 25.64 574.36
Oct. 6 Deposit 316.92 891.28
35Bank Reconciliation
36Bank Reconciliation
- To calculate the adjusted check register balance
- Enter the checkbook register balance on the line
indicated.
37Bank Reconciliation
- Enter and subtract the service charge, if there
is any.
38Bank Reconciliation
- Enter and add interest earned on the account, if
there is any.
39Bank Reconciliation
- Enter the adjusted check register balance on the
line indicated.
40Bank Reconciliation
- To calculate the adjusted bank statement balance
- Enter the bank statement balance on the line
indicated.
41Bank Reconciliation
- Enter the check number and amount of any
outstanding check (a check that youve written
but which the bank has not yet received for
payment.
42Bank Reconciliation
- Total the outstanding checks and subtract the
amount from the bank statement balance.
43Bank Reconciliation
- Enter any outstanding deposits (deposits you have
recently made but which were not yet entered on
the bank statement) where indicated and add to
the previous balance.
44Bank Reconciliation
- Enter the adjusted bank statement balance on the
line indicated.
45Bank Reconciliation
- To determine accuracy of bank statement
reconciliation
46Bank Reconciliation
- Compare the total of the adjusted checkbook
register balance to the adjusted bank statement
balance these two totals MUST be the same. If
they are not, recheck your work until the two
totals do agree.
47Check Writing
4812 Rules About Checking
- Only write checks when you have enough money in
your account. - Write checks legibly.
- Write the check amount as far to the left as
possible. - Always use a pen to write checks.
4912 Rules About Checking
- Dont erase mistakes on a check.
- Dont sign blank checks.
- Use restrictive endorsements.
- Print the right date on a check.
5012 Rules About Checking
- Always keep checks in a safe place.
- Shred voided or unused checks and deposit slips.
- Record every transaction (including debit card
purchases) in the checkbook register. - Keep a running balance in the checkbook register.
51Check Writing
52How to Cash a Check
- BLANK ENDORSEMENT Sign your name the same way it
is written on the front of the check.
George W. Doe
53How to Cash a Check
- SPECIAL ENDORSEMENT Do this when you want to
give someone else the money. Write pay to the
order of and that persons name. Then sign it.
Now that person is the only one that can cash the
check.
Pay to the order of
William J. Doe
George W. Doe
54How to Cash a Check
- RESTRICTIVE When you want your check to be very
safe, like when you send it by mail to your bank,
use this type of endorsement. Then , it can only
be deposited into your account.
For Deposit Only
George W. Doe
55Check Writing