acc_finals.xls
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Problems and Solutions (07-05A , P07-05 A ,06A, 07C ) final ACC
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Student
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Hire a Pro to Write You a 100% Plagiarism-Free Paper.
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|
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| Name |
:
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| Class: |
Problem 07-05A |
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| CHOI ENTERPRISES |
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| Sales |
Journal
Cost of Goods |
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| Trans. |
A/R
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| Debit |
Sold Debit |
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| Date |
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| Account |
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| Debited |
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| No. |
No.
Sales
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| Credit |
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| Inventory |
Credit
Dec.
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| 6 |
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| Marge Craig |
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| 9 |
1
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| 3 |
3
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| 12 |
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| Hanna Seppa |
91
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| 4 |
4
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| 15 |
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| Bo Brown |
915 |
5
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| 16 |
Hanna Seppa
| 916 |
6
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| 24 |
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| Shilo Jones |
9
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| 17 |
7
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| 31 |
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| Total |
s
0 0
CHOI ENTERPRISES
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| Purchases |
Journal
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| Accounts |
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| Office |
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| Other |
Date of |
Trans.
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| Payable |
Purchases
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| Supplies |
Accounts
Date Account
Invoice |
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| Terms |
No. Credit Debit Debit Debit
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| Dec. 2 |
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| Funk Company |
12/2 |
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| 2/
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| 10 |
, n/60
2
5
| KK’s Supply Co. |
12/3 |
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| n/10 EOM |
3
15 Funk Company
| 12/15 |
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| 2/10, n/60 |
4
15
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| Crossland Company |
12/15 2/10, n/60 5
17 KK’s Supply Co.
12/16 |
n/10 EOM 6
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| 21 |
Store Equip./KK’s Supply Co. |
12/21 |
n/10 EOM 7
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| 26 |
Crossland Company
12/
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| 25 |
2/10, n/60
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| 8 |
31
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| Totals |
0 0 0 0
CHOI ENTERPRISES
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| Cash |
Receipts Journal
Sales Accounts Other
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| COGS |
Trans. Cash
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| Discount |
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| Recv. |
Sales Accounts Debit
Date
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| Account Cr. |
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| Explanation |
No. Debit Debit Credit Credit Credit
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| Inv. Credit |
Dec. 2 Shilo Jones
Invoice
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| 11 |
/
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|
|
|
|
|
| 23 |
3
15 Sales
|
|
| Cash sales |
4
15 Marge Craig
Invoice 12/6 |
5
|
|
|
| 22 |
Hanna Seppa
Invoice 12/12 |
6
25 Bo Brown
Invoice 12/15 |
7
|
|
|
| 29 |
|
|
|
|
| Office Supplies |
Sold supplies |
8
31 Sales Cash sales 9
31 Totals
0 0 0 0 0 0
CHOI ENTERPRISES
|
| Cash Disbursements Journal |
Other
|
|
|
|
|
|
| Accts. |
|
|
|
|
| Check |
Account Trans. Cash Inventory Accts.
|
| Pay. |
Date No.
|
| Payee |
Debited No. Credit Credit Debit Debit
Dec. 2
6
|
|
|
|
|
|
|
| 19 |
Omni Realty Co. |
| Rent Expense |
4
6
6
|
|
|
|
|
|
| 20 |
|
| Fireside Company |
Fireside Company 5
12
|
|
| 621 |
Funk Company Funk Company 6
15
622 |
|
| Jamie Inman |
|
|
|
|
| Sales Salaries Exp. |
7
23
| 623 |
| Crossland Co. |
Crossland Co. 8
24
| 624 |
Funk Company Funk Company 9
|
|
|
|
|
|
|
| 30 |
| 625 |
| Ken Choi |
Ken Choi, Withdr. |
10
31
| 626 |
Jamie Inman Sales Salaries Exp. 11
31
| 6
|
|
| 27 |
Access Elec. Co. |
|
|
| Utilities Expense |
12
31 Totals
0 0 0 0
CHOI ENTERPRISES
|
| General Journal |
Trans.
Date
|
|
|
|
| Description |
No. Debit Credit
|
| Dec. 4 |
|
|
| Accounts Payable |
-Fireside Company
2
Inventory
0
9
|
|
|
| Sales Returns and Allowances |
3
|
|
| Accounts Receivable |
-Marge Craig
0
17
Accounts Payable-Funk Company |
4
Inventory 0
|
|
| 18 |
Accounts Payable-KK’s Supply Co. |
5
Office Supplies 0
20 Sales Returns and Allowances 6
Accounts Receivable-Bo Brown |
0
CHOI ENTERPRISES
|
| General Ledger |
Cash
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| Account No. |
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| 101 |
Trans.
Date
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Debit Credit
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| Balance |
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| Nov. 30 |
Balance
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| Dec. 31 |
|
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| CRJ |
31
|
|
|
|
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|
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| CDJ |
0
Accounts Receivable Account No.
|
| 106 |
Trans.
Date Item no. Debit Credit Balance
Nov. 30 Balance
Dec. 9 |
|
|
|
|
| GJ3 |
20
|
| GJ6 |
31
|
|
|
|
|
|
|
|
|
| SJ |
31 CRJ 0
| Merchandise Inventory |
Account No.
|
| 119 |
Trans.
Date Item no. Debit Credit Balance
Nov. 30 Balance
Dec. 4
| Dec. 17 |
Dec. 31 CDJ
Dec. 31
|
|
|
|
|
|
| PJ |
Dec. 31 SJ
Dec. 31 CRJ 0
Office Supplies Account No.
|
| 124 |
Trans.
Date Item no. Debit Credit Balance
Nov. 30 Balance
Dec. 18 |
|
| GJ5 |
29
CR8 |
31
|
|
| PJ6 |
0
|
|
|
| Store Supplies |
Account No.
|
| 125 |
Trans.
Date Item no. Debit Credit Balance
Nov. 30 Balance 0
| Store Equipment |
Account No.
1
| 65 |
Trans.
Date Item no. Debit Credit Balance
Nov. 30 Balance
| Dec. 21 |
| PJ7 |
0
Accumulated Depr. – Store Equipment |
Account No.
1
| 66 |
Trans.
Date Item no. Debit Credit Balance
Nov. 30 Balance 0
Accounts Payable Account No.
|
| 201 |
Trans.
Date Item no. Debit Credit Balance
Nov. 30 Balance
Dec. 4
|
|
|
| GJ2 |
17
| GJ4 |
18 GJ5
31 PJ
31 CDJ 0
| Ken Choi, Capital |
Account No.
| 308 |
Trans.
Date Item no. Debit Credit Balance
Nov. 30 Balance 0
| Ken Choi, Withdrawals |
Account No.
318 |
Trans.
Date Item no. Debit Credit Balance
Dec. 30 |
CD10 |
0
Sales Account No.
4
|
|
|
|
| 13 |
Trans.
Date Item no. Debit Credit Balance
Dec. 31 SJ
31 CRJ 0
Sales Returns and Allowances Account No.
4
|
| 14 |
Trans.
Date Item no. Debit Credit Balance
Dec. 31 GJ3
31 GJ6 0
|
|
| Sales Discounts |
Account No.
|
| 415 |
Trans.
Date Item no. Debit Credit Balance
Dec. 31 CRJ 0
|
|
| Cost of Goods Sold |
Account No.
| 50 |
2
Trans.
Date Item no. Debit Credit Balance
Dec. 31 CRJ
Dec. 31 SJ 0
|
|
| Sales Salaries Expense |
Account No. 621
Trans.
Date Item no. Debit Credit Balance
|
|
|
|
|
|
| Dec. 15 |
CD7 |
31
CD11 |
0
Rent Expense Account No.
6
| 40 |
Trans.
Date Item no. Debit Credit Balance
Dec. 2
| CD4 |
0
Utilities Expense Account No.
| 69 |
0
Trans.
Date Item no. Debit Credit Balance
Dec. 31
CD12 |
0
CHOI ENTERPRISES
|
| Accounts Receivable Ledger |
Marge Craig
Trans.
Date Item no. Debit Credit Balance
Dec. 6 |
| SJ3 |
9 GJ3
15
CR5 |
0
Hanna Seppa
Trans.
Date Item no. Debit Credit Balance
| Dec. 12 |
| SJ4 |
16
| SJ6 |
22
| CR6 |
0
Shilo Jones
Trans.
Date Item no. Debit Credit Balance
Nov. 23 |
Dec. 2
| CR3 |
24
SJ7 |
0
Bo Brown
Trans.
Date Item no. Debit Credit Balance
Dec. 15
| SJ5 |
20 GJ6
25
CR7 |
0
CHOI ENTERPRISES
|
| Accounts Payable Ledger |
Fireside Company
Trans.
Date Item no. Debit Credit Balance
Nov.
|
|
| 28 |
Dec.4 |
GJ2
6
| CD5 |
0
|
|
|
| KK’s Supply Company |
Trans.
Date Item no. Debit Credit Balance
Dec. 5 |
| PJ3 |
17 PJ6
18 GJ5
21 PJ7 0
Crossland Company
Trans.
Date Item no. Debit Credit Balance
Dec. 15
| PJ5 |
23
CD8 |
26
PJ8 |
0
Funk Company
Trans.
Date Item no. Debit Credit Balance
Dec. 2
|
| PJ2 |
12
CD6 |
15
|
| PJ4 |
17 GJ4
24
CD9 |
0
CHOI ENTERPRISES
|
| Trial Balance |
|
| December 31 |
Debit Credit
Cash
|
|
|
| Accounts receivable |
|
|
| Merchandise inventory |
|
|
|
| Office supplies |
|
|
|
| Store supplies |
|
|
| Store equipment |
Accumulated depreciation, store equipment |
|
|
|
| Accounts payable |
Ken Choi, Capital
Ken Choi, Withdrawals
Sales
|
| Sales returns and allowances |
|
| Sales discounts |
|
| Cost of goods sold |
|
|
| Sales salaries expense |
Rent expense |
|
| Utilities expense |
Totals
0 0
CHOI ENTERPRISES
|
| Schedule of Accounts Receivable |
December 31
Hanna Seppa
Shilo Jones
|
| Total accounts receivable |
0
CHOI ENTERPRISES
|
| Schedule of Accounts Payable |
December 31
KK’s Supply Company
Crossland Company
|
| Total accounts payable |
0
Enter appropriate data in yellow cells. Your entries for “Totals” will be verified.
Enter appropriate data in yellow cells. Your entries for “Totals” will be verified.
Enter appropriate data in yellow cells. Your entries for “Totals” will be verified.
Enter appropriate data in yellow cells. Your Credit entries will be verified.
Enter appropriate data in yellow cells. Your ending balances will be verified.
Enter appropriate data in yellow cells. Your ending balances will be verified.
Enter appropriate data in yellow cells. Your entries for “Totals” will be verified.
Enter appropriate data in yellow cells. Your totals will be verified.
Given P07-05A
Given Data P07-05A: |
CHOI ENTERPRISES
|
| Inv. No. |
Check
Date Description Name
|
| or Date |
No. Terms
|
| Amount |
| Dec. 16 |
| Merchandise sold (cost $
| 4,600 |
)
Hanna Seppa 916
|
|
|
|
|
|
|
|
|
|
|
|
|
| 2/10, n/30 |
$ 7,
| 70 |
0
17
|
|
|
|
| Received credit memo on returned merch. |
Funk Company Dec. 15
1,040 |
17
| Purchased office supplies |
KK’s Supply Company Dec. 16 n/10 EOM
615 |
18 Received credit memo on returned merch. KK’s Supply Company Dec. 17 40
20
| Issued credit memo on returned merch. |
Bo Brown Dec. 15
500 |
21
Purchased store equipment |
KK’s Supply Company Dec. 21 n/10 EOM
6,700 |
22
|
|
|
|
| Received payment less discount |
Hanna Seppa Dec. 12
23
|
|
| Paid invoice less discount |
Crossland Company Dec. 15 623
24
Sold merchandise on credit (cost $600) |
Shilo Jones
917 |
1,200 |
24
Paid inv. less discount and return |
Funk Company Dec. 15 624
25
| Received payment less discount and return |
Bo Brown Dec. 15
26
Purchased merchandise and invoice |
Crossland Company
Dec. 25 |
2/10, n/60
8,100 |
29
Sold office supplies for cash at cost |
50
30
| Issued check to owner for personal use |
Ken Choi 625
3,500 |
31
|
|
|
| Check issued for sales salaries |
Jamie Inman 626
2,020 |
31
Issued check for electric bill |
Access Electric Company |
627
| 71 |
0
31
Cash sales for last half of month (cost $11,200) |
29,600 |
| Check figure: Trial balance totals |
$219,408 |
P07-06A
| Student Name: |
Class:
Problem 07-06A |
|
|
|
|
|
|
|
|
|
|
| BISHOP COMPANY |
| Sales Journal |
COGS
Inv. Trans.
Acct. Rec. |
Debit
Date
| Account Debited |
No. No.
Sales Cr. |
Inv. Credit
| Mar. 2 |
|
|
|
| Min Cho |
|
|
|
| 85 |
4
2
3
|
|
|
|
|
|
| Lance Snow |
|
| 855 |
3
10
|
|
|
|
|
|
| Taylor Few |
|
| 856 |
4
27 Taylor Few
| 857 |
5
28 Lance Snow
| 858 |
6
31
Total
0 0
BISHOP COMPANY
| Purchases Journal |
Accounts Office Other
Inv. Trans. Payable Purchases Supplies Accounts
Date Account Date Terms No. Credit Debit Debit Debit
|
|
| Mar. 1 |
|
|
|
|
| Soy Industries |
| 3/3 |
| 2/15, n/30 |
3
|
| 42,600 |
42,600
3
|
|
|
| Stacy Company |
3/3 n/10 EOM 2
|
|
| 1,120 |
1,120
9
Office Equip./
|
|
|
| Tells Supply |
3/9 |
n/10 EOM 4
|
| 20,850 |
20,850
14
|
| The
|
|
| JW Company |
3/13 |
2/10, n/30 5
|
| 31,625 |
31,625
16
Store Supplies/Stacy Co. |
3/16 |
n/10 EOM 6
|
| 1,
| 67 |
0
1,670
31 Totals
97,
|
| 86 |
5
| 74 |
,225
1,120
22,520 |
|
|
| Correct! |
Correct! Correct! Correct!
BISHOP COMPANY
| Cash Receipts Journal |
Sales Accounts Other COGS
Trans. Cash Discount Recv. Sales Accounts Debit
Date Account Cr. Explanation No. Debit Debit Credit Credit Credit Inv. Credit
| Mar. 6 |
L.T. Notes Pay. |
Note to bank |
2
12 Min Cho
Invoice, 3/2 |
3
13 Lance Snow
Invoice, 3/3 |
4
15 Sales Cash sales 5
20 Taylor Few
Invoice, 3/10 |
6
31 Sales Cash sales 7
31 Totals
0 0 0 0 0 0
BISHOP COMPANY
Cash Disbursements Journal
Other Accts.
Check Account Trans. Cash Inventory Accts. Pay.
Date No. Payee Debited No. Credit Credit Debit Debit
|
| Mar. 13 |
| 416 |
Soy Industries Soy Industries 2
15
| 417 |
|
|
|
|
|
|
| Payroll |
Sales Salaries Exp. 3
23
| 418 |
The JW Co. |
The JW Company 4
31
| 419 |
Payroll Sales Salaries Exp. 5
31 Totals
0 0 0 0
BISHOP COMPANY
General Journal
Trans.
Date Description No. Debit Credit
| Mar. 17 |
Accounts Payable-JW Co. |
2
Inventory 0
19
Accounts Payable-Tells Supply |
3
|
|
| Office Equipment |
0
BISHOP COMPANY
General Ledger
Cash Account No. 101
Trans.
Date Item no. Debit Credit Balance
|
|
|
|
|
| Mar. 3 |
1
CRJ
31 CDJ 0
Accounts Receivable Account No. 106
Trans.
Date Item no. Debit Credit Balance
|
| Mar. 31 |
SJ
31 CRJ 0
Inventory Account No. 119
Trans.
Date Item no. Debit Credit Balance
Mar. 1
| Beginning balance |
17 GJ2
31 PJ
31 CDJ
31 SJ
31 CRJ 0
Office Supplies Account No. 124
Trans.
Date Item no. Debit Credit Balance
Mar. 3 PJ2 0
Store Supplies Account No. 125
Trans.
Date Item no. Debit Credit Balance
| Mar. 16 |
PJ6 0
Office Equipment Account No.
| 163 |
Trans.
Date Item no. Debit Credit Balance
|
| Mar. 9 |
PJ4
19 GJ3 0
Accounts Payable Account No. 201
Trans.
Date Item no. Debit Credit Balance
Mar. 17 GJ2
19 GJ3
31 PJ
31 CDJ 0
Long-Term Notes Payable |
Account No.
251 |
Trans.
Date Item no. Debit Credit Balance
Mar. 6
C
| R2 |
0
M.Bishop, Capital |
Account No. 308
Trans.
Date Item no. Debit Credit Balance
| Mar. 15 |
Beginning balance 0
Sales Account No.
| 413 |
Trans.
Date Item no. Debit Credit Balance
Mar. 31 SJ
31 CRJ 0
Sales Discounts Account No. 415
Trans.
Date Item no. Debit Credit Balance
Mar. 31 CRJ 0
Cost of Goods Sold Account No.
| 502 |
Trans.
Date Item no. Debit Credit Balance
Mar. 31 CRJ
31 SJ 0
Sales Salaries Expense Account No. 621
Trans.
Date Item no. Debit Credit Balance
Mar. 15
CD3 |
31 CD5 0
BISHOP COMPANY
Accounts Receivable Ledger
Taylor Few
Trans.
Date Item no. Debit Credit Balance
Mar. 10 |
SJ4
20 CR6
27 SJ5 0
Min Cho
Trans.
Date Item no. Debit Credit Balance
Mar. 2
SJ2 |
12 CR3 0
Lance Snow
Trans.
Date Item no. Debit Credit Balance
Mar. 3 SJ3
13
CR4 |
28 SJ6 0
BISHOP COMPANY
Accounts Payable Ledger
Stacy Company
Trans.
Date Item no. Debit Credit Balance
Mar. 3 PJ2
16 PJ6 0
Soy Industries
Trans.
Date Item no. Debit Credit Balance
Mar. 5 |
PJ3
13
CD2 |
0
Tells Supply
Trans.
Date Item no. Debit Credit Balance
Mar. 9 PJ4
19 GJ3 0
The JW Company
Trans.
Date Item no. Debit Credit Balance
Mar. 14 |
PJ5
17 GJ2
23 CD4 0
BISHOP COMPANY
Trial Balance (
| Unadjusted |
)
|
| March 31 |
Debit Credit
Cash
Accounts receivable
Inventory
Office supplies
Store supplies
|
|
| Office equipment |
Accounts payable
Long-term notes payable |
M. Bishop, Capital |
Sales
Sales discounts
Cost of goods sold
Sales salaries expense
Totals
0 0
BISHOP COMPANY
Schedule of Accounts Receivable
March 31
Taylor Few
Lance Snow
Total accounts receivable
0
BISHOP COMPANY
Schedule of Accounts Payable
March 31
Stacy Company
Tells Supply
Total accounts payable
0
Enter appropriate data in yellow cells. Your entries for “Totals” will be verified.
Enter appropriate data in yellow cells. Your entries for “Totals” will be verified.
Enter appropriate data in yellow cells. Your Credit entries will be verified.
Enter appropriate data in yellow cells. Your ending balances will be verified.
Enter appropriate data in yellow cells. Your ending balances will be verified.
Enter appropriate data in yellow cells. Your entries for “Totals” will be verified.
Enter appropriate data in yellow cells. Your totals will be verified.
Given P07-06A
Given Data P07-06A: |
BISHOP COMPANY
Inv. No. Check
Date Description Name or Date No. Terms Amount
Mar. 1
Received merchandise and invoice |
Soy Industries Mar. 1 2/15, n/30 42,600
2
Merchandise sold (cost $7,900) |
Min Cho
854 |
2/10, n/30
15,
|
| 80 |
0
3 Purchased office supplies Stacy Company Mar. 3 n/10 EOM 1,120
3 Merchandise sold (cost $4,600) Lance Snow 855 2/10, n/30
9,200 |
6
Borrowed on long-term note payable |
Federal Bank |
| 72 |
,000
9
Purchased office equipment |
Tells Supply Mar. 9 n/10 EOM 20,850
10
Sold merchandise (cost $2,300) |
Taylor Few 856 2/10, n/30 4,600
12 Received payment less discount Min Cho 854 2/10, n/30
13 Paid invoice less discount Soy Industries Mar. 3 416 2/10, n/30
13 Received payment less discount Lance Snow 855 2/10, n/30
14
Purchase merchandise |
JW Company Mar. 13 2/10, n/30 31,625
15 Check issued for sales salaries 417
| 15,900 |
15
Cash sales for first half of month (cost $138,000) |
| 164 |
,
68 |
0
16
Purchased store supplies |
Stacy Company Mar. 16 n/10 EOM 1,670
17 Received credit memo on returned merch. JW Company
2,425 |
19 Received credit memo on returned merch. Tells Supply
| 630 |
20 Received payment less discount Taylor Few 856 2/10, n/30
23
Paid inv. less discount and credit memo |
JW Company Mar. 13 418 2/10, n/30
27
Merchandise sold (cost $6,220) |
Taylor Few 857 2/10, n/30
13,910 |
28
Merchandise sold (cost $2,
| 280 |
)
Lance Snow 858 2/10, n/30
5,315 |
31 Check issued for sales salaries 419 15,900
31
Cash sales for second half of month (cost $16,
|
|
| 82 |
0)
174,590 |
Check figure: Trial balance totals
$
| 73 |
8
P07C
Student Name:
Class:
Problem 07C |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| COLO COMPANY |
Sales Journal
AR Debit |
COGS
Inv. Trans. Sales Debit
Date Account Debited No. No. Credit Inv. Credit
|
|
|
|
|
| May 2 |
|
|
|
|
|
|
| Hensel Company |
8
|
| 78 |
5
|
|
|
| 83 |
16 Hensel Company
| 8786 |
| 84 |
22
|
|
|
| Lee Services |
| 8787 |
85
26
|
|
| Crane Corp. |
| 8788 |
86
31 Totals
0 0
COLO COMPANY
Purchases Journal
Accounts Office Other
Inv. Trans. Payable Inventory Supplies Accounts
Date Account Date Terms No. Credit Debit Debit Debit
|
|
|
|
| May 4 |
| Store Supp./Gear Supp. |
5/4 |
|
| n/10, EOM |
78
10
Off. Equip./Gear Supp. |
| 5/10 |
n/10, EOM
| 79 |
11
|
|
|
|
| Garcia, Inc. |
5/10
n/30, n/30 |
80
17
|
|
|
|
| Fink Corp. |
5/14 |
2/10, n/60
|
| 81 |
24 Store Supp./Gear Supp.
5/24 |
n/10, EOM 82
25
|
|
|
|
|
|
| Peyton Products |
5/23 |
2/10, n/30 83
31 Totals
0 0 0 0
COLO COMPANY
Cash Receipts Journal
Sales Accts. Other COGS
Trans. Cash Discount Recv. Sales Accts. Debit
Date Account Cr. Explanation No. Debit Debit Credit Credit Credit Inv. Credit
May 5 |
|
|
|
| Knox, Inc. |
Sale of April 28 |
81
9 Store Supplies
Sold store supplies |
82
11 Hensel Company
Sale of May 2 |
83
15 Sales
Cash sales, |
84
|
|
| May 1 |
-15
30 Lee Services
Sale of
|
| May 22 |
85
31 Sales
Cash Sales, |
86
May 16-31 |
31 Totals
0 0 0 0 0 0
COLO COMPANY
Cash Disbursements Journal
Other Accts.
Check Account Trans. Cash Inventory Accts. Pay.
Date No. Payee Debited No. Credit Credit Debit Debit
May 1
| 3410 |
S&P Mgmt. Co. |
Rent Exp., Selling |
| 76 |
Rent Exp., Office |
8
| 3411 |
Peyton Products Peyton Products
77 |
15
|
| 3412 |
Payroll Sales Salaries Exp. 78
| Office Salaries Exp. |
19
| 3413 |
Garcia, Inc. Garcia, Inc. 79
23
3
| 414 |
Fink Corp. Fink Corp. 80
26
| 3415 |
| Perennial Power |
Utilities Exp. |
81
29
| 3416 |
| Jenny Colo |
|
| J. Colo, Withdrawals |
82
30
|
| 3417 |
Payroll Sales Salaries Exp. 83
Office Salaries Exp.
Totals
0 0 0 0
COLO COMPANY
General Journal
Trans.
Date Description No. Debit Credit
May 2 Sales Returns and Allowances 65
Accounts Receivable-Knox, Inc. |
0
3
Accounts Payable-Peyton Products |
66
Inventory 0
12
Accounts Payable-
|
|
|
|
|
|
|
|
|
| Gear Supply Co. |
67
Office Equipment 0
Adjusting entries |
|
|
|
|
|
|
|
|
| May 3 |
1
|
| Insurance Expense |
68
| Prepaid Insurance |
0
31
|
| Store Supplies Expense |
69
Store Supplies 0
31
|
| Office Supplies Expense |
70
Office Supplies 0
31
Depreciation Expense, Store Equip. |
71
Accumulated Depr., Store Equip. |
0
31
Depreciation Expense, Office Equip. |
72
Accumulated Depr., Office Equip. |
0
Closing entries |
|
|
|
|
|
|
|
|
| May 31 |
|
|
|
| Income |
Summary
73
Sales Discounts 0
Sales Returns and Allowances 0
Cost of Goods Sold 0
Depr. Expense, Office Equipment |
0
Depr. Expense, Store Equipment |
0
| Office Salaries Expense |
0
Sales Salaries Expense 0
Insurance Expense 0
| Rent Expense, Office Space |
0
| Rent Expense, Selling Space |
0
Office Supplies Expense 0
Store Supplies Expense 0
Utilities Expense 0
31 Sales 74
Income Summary 0
31 Income Summary
75 |
|
| J. Colo, Capital |
0
31 J. Colo, Capital 76
J. Colo, Withdrawals 0
COLO COMPANY
General Ledger
Cash Account No. 101
Trans.
Date Item no. Debit Credit Balance
|
|
|
|
|
|
|
|
|
|
| Apr. 30 |
Balance
50,247 |
May 31 CRJ
31 CDJ 0
Accounts Receivable Account No. 106
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
|
|
| 4,725 |
May 2
JG65 |
31 SJ
31 CRJ 0
Merchandise Inventory Account No. 119
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
220,080 |
May 31
| GJ66 |
31 CDJ
31 PJ
31 CRJ
31 SJ 0
Office Supplies Account No. 124
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
430 |
May 31 PJ
31
| GJ70 |
0
Store Supplies Account No. 125
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
2,447 |
May 4
| PJ78 |
9
CR82 |
24
| PJ82 |
31
| GJ69 |
0
Prepaid Insurance Account No.
128 |
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
3,318 |
May 31
| GJ68 |
0
Office Equipment Account No. 163
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
22,470 |
|
|
|
| May 10 |
| PJ79 |
12
|
| GJ67 |
0
Accumulated Depreciation, Office Equipment |
Account No. 164
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
9,898 |
May 31
| GJ72 |
0
Store Equipment Account No.
165 |
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
38,920 |
Accumulated Depreciation, Store Equipment |
Account No.
166 |
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
17,556 |
May 31
| GJ71 |
0
Accounts Payable Account No. 201
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
|
| 7,098 |
May 3 GJ66
12 GJ67
31 PJ
31 CDJ 0
|
| Jenny Colo, Capital |
Account No.
301 |
Trans.
Date Item no. Debit Credit Balance
Apr. 30 Balance
308,085 |
May 31
| GJ75 |
31
| GJ76 |
0
Jenny Colo, Withdrawals |
Account No.
302 |
Trans.
Date Item no. Debit Credit Balance
May 29 |
CD82 |
31 GJ76 0
Sales Account No. 413
Trans.
Date Item no. Debit Credit Balance
May 31 SJ
31 CRJ
31
| GJ74 |
0
Sales Returns & Allowances |
Account No. 414
Trans.
Date Item no. Debit Credit Balance
May 2
| GJ65 |
31
|
|
|
|
|
|
|
|
|
|
|
| GJ73 |
0
Sales Discounts Account No. 415
Trans.
Date Item no. Debit Credit Balance
May 31 CRJ
31 GJ73 0
Cost of Goods Sold Account No. 502
Trans.
Date Item no. Debit Credit Balance
May 31
| S2 |
31 R2
31
G3 |
0
Depreciation Expense, Ofc. Equipment |
Account No.
612 |
Trans.
Date Item no. Debit Credit Balance
May 31 GJ72
31 GJ73 0
Depreciation Expense, Store Equipment |
Account No.
613 |
Trans.
Date Item no. Debit Credit Balance
May 31 GJ71
31 GJ73 0
Office Salaries Expense Account No.
620 |
Trans.
Date Item no. Debit Credit Balance
| May 15 |
| CD78 |
30
| CD83 |
31 GJ73 0
Sales Salaries Expense Account No. 621
Trans.
Date Item no. Debit Credit Balance
May 15 CD78
30 CD83
31 GJ73 0
Insurance Expense Account No.
637 |
Trans.
Date Item no. Debit Credit Balance
May 31 GJ68
31 GJ73 0
Rent Expense, Office Space Account No.
641 |
Trans.
Date Item no. Debit Credit Balance
May 1
| CD76 |
31 GJ73 0
Rent Expense, Selling Space Account No.
642 |
Trans.
Date Item no. Debit Credit Balance
May 1 CD76
31 GJ73 0
Office Supplies Expense Account No.
650 |
Trans.
Date Item no. Debit Credit Balance
May 31 GJ70
31 GJ73 0
Store Supplies Expense Account No.
651 |
Trans.
Date Item no. Debit Credit Balance
May 31 GJ69
31 GJ73 0
Utilities Expense Account No.
690 |
Trans.
Date Item no. Debit Credit Balance
| May 26 |
CD81 |
31 GJ73 0
Income Summary Account No.
901 |
Trans.
Date Item no. Debit Credit Balance
May 31 GJ73
31 GJ74
31 GJ75 0
COLO COMPANY
Accounts Receivable Ledger
Crane Corp.
Trans.
Date Item no. Debit Credit Balance
May 26
SJ86 |
0
Hensel Company
Trans.
Date Item no. Debit Credit Balance
May 2
SJ83 |
11
CR83 |
16
SJ84 |
0
Knox, Inc.
Trans.
Date Item no. Debit Credit Balance
|
|
| Apr. 28 |
S2 4,725 4,725
May 2 GJ65
5
CR81 |
0
Lee Services
Trans.
Date Item no. Debit Credit Balance
May 22
SJ85 |
30
CR85 |
0
COLO COMPANY
Accounts Payable Ledger
Fink Corp.
Trans.
Date Item no. Debit Credit Balance
May 17 |
PJ81 |
23
CD80 |
0
Garcia, Inc.
Trans.
Date Item no. Debit Credit Balance
May 11 |
PJ80 |
19
CD79 |
0
Peyton Products
Trans.
Date Item no. Debit Credit Balance
|
| Apr. 29 |
PJ 7,098 7,098
May 3
JG66 |
8
CD77 |
25
PJ83 |
0
Gear Supply Co.
Trans.
Date Item no. Debit Credit Balance
May 4 PJ78
10 PJ79
12 GJ67
24 PJ82 0
COLO COMPANY
Work Sheet |
|
| For Month Ended
|
|
|
| May 31, 2005 |
| Balance Sheet |
Unadjusted
Adjusted |
Income
&
| Statement |
Trial Balance
Adjustments |
Trial Balance Statement
of
| Owner’s Equity |
Account Debit Credit Debit Credit Debit Credit Debit Credit Debit Credit
Cash
Accounts receivable
Merchandise inventory
Office supplies
Store supplies
|
| Prepaid insurance |
Office equipment
Accum. depr., office equip. |
Store equipment
Accum. depr., store equip. |
Accounts payable
J. Colo, Capital
J. Colo, Withdrawals
Sales
Sales discounts
Sales returns and allowances
Cost of goods sold
Depr. expense, office equip. |
Depr. expense, store equip. |
| Office salaries expense |
Sales salaries expense
| Insurance expense |
Rent exp., office space |
Rent exp., selling space |
| Office supplies expense |
| Store supplies expense |
Utilities expense
Totals
| Net income |
Totals 0 0 0 0 0 0
0 0 0 0
COLO COMPANY
Income Statement |
For Month Ended May 31, 2005
Revenue: |
Sales
Less: Sales discounts |
Sales returns and allowances
Net sales |
Less: Cost of goods sold |
Gross profit on sales |
Operating expenses: |
Selling expenses: |
Depreciation expense, store equipment |
Sales salaries expense
Rent expense, selling space |
Store supplies expense
Total selling expenses |
General and administrative expenses: |
Depreciation expense, office equipment |
Office salaries expense
Insurance expense
Rent expense, office space |
Office supplies expense
Utilities expense
Total general and administrative expenses |
Total operating expenses |
Net income 0
COLO COMPANY
Statement of Owner’s Equity |
For Month Ended May 31, 2005
Jenny Colo, Capital, April 30, 2005 |
Plus: Net income |
Total
Less: Withdrawals by owner |
Jenny Colo, Capital, May 31, 2005 |
0
COLO COMPANY
Balance Sheet
May 31, 2005
Assets |
Current assets: |
Cash
Accounts receivable
Merchandise inventory
Office supplies
Store supplies
Prepaid insurance
Total current assets |
0
Plant assets: |
Office equipment
| Less accumulated depreciation |
0
Store equipment
Less accumulated depreciation 0
Total plant assets |
0
Total assets |
0
Liabilities |
Current liabilities: |
Accounts payable 0
Owner’s Equity
Jenny Colo, Capital 0
Total liabilities and equity |
0
COLO COMPANY
Post-Closing Trial Balance |
May 31, 2005
Debit Credit
Cash
Accounts receivable
Merchandise inventory
Office supplies
Store supplies
Prepaid insurance
Office equipment
Accum. depr., office equipment |
Store equipment
Accum. depr., store equipment |
Accounts payable
Jenny Colo, Capital
Totals
0 0
COLO COMPANY
Schedule of Accounts Receivable
May 31, 2005
Crane Corp.
Hensel Company
Total accounts receivable 0
COLO COMPANY
Schedule of Accounts Payable
May 31, 2005
Peyton Products
Gear Supply Co.
Total accounts payable 0
Enter appropriate data in yellow cells. Your entries for “Totals” will be verified.
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Enter appropriate data in yellow cells. Your entries for “Totals” will be verified.
Enter appropriate data in yellow cells. Your entry for “Net income” will be verified.
Enter appropriate data in yellow cells. Your ending entry will be verified.
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Given P07C
Given Data P07C: |
COLO COMPANY
Inv. No. Check
Date Description Name or Date No. Terms Amount
May1 |
Paid rent (80% selling space, 20% office space) |
S&P Management Co. |
3410
$ 3,710 |
2
Sold merchandise on credit (cost $4,100) |
Hensel Company
8785 |
2/10, n/60
6,100 |
2 Issued credit memo on returned merch. Knox, Inc. Apr. 28
175 |
Total selling price (gross) |
Knox, Inc. Apr. 28 4,725
3 Received credit memo on returned merch. Peyton Products Apr. 29
798 |
4
|
|
|
| Purchased merchandise on credit |
Gear Supply Co. May 4 n/10 EOM
37,072 |
| Purchased store supplies on credit |
Gear Supply Co. May 4 n/10 EOM
574 |
| Purchased office supplies on credit |
Gear Supply Co. May 4 n/10 EOM 83
5 Received payment less discount and return Knox, Inc. Apr. 28 n/10 EOM
|
|
|
| ? |
8
Paid inv. less 2 % discount and May 3 return |
Peyton Products Apr. 29 3411 ?
9
Sold store supplies for cash at cost |
350 |
10
Purchased office equipment on credit |
Gear Supply Co. May 10 n/10 EOM
4,074 |
11 Received payment less discount Hensel Company May 2 ?
11 Purchased merchandise on credit Garcia, Inc. May 10 2/10, n/60
8,800 |
12 Received credit memo on returned merch. Gear Supply Co. May 10 854
15 Check issued for sales salaries Payroll 3412
| 5,320 |
| Check issued for office salaries |
Payroll 3412
| 3,150 |
15
Cash sales for first half of month (cost $38,200) |
59,220 |
16
Sold merchandise on credit (cost $1,890) |
Hensel Company 8786 2/10, n/60
3,990 |
17 Purchased merchandise on credit Fink Corp.
| May 14 |
2/10, n/60
13,650 |
19 Paid invoice less discount Garcia, Inc. May 10 3413
22
Sold merchandise on credit (cost $4,990) |
Lee Services 8787 2/10, n/60
6,850 |
23 Paid invoice less discount Fink Corp. May 14
3414 |
?
24 Purchased merchandise on credit Gear Supply Co.
|
|
| May 23 |
n/10 EOM
8,120 |
Purchased store supplies on credit Gear Supply Co. May 23 n/10 EOM 630
Purchased office supplies on credit Gear Supply Co. May 23 n/10 EOM 280
25 Purchased merchandise on credit Peyton Products May 23 2/10, n/30
3,080 |
26
Sold merchandise on credit (cost $8,230) |
Crane Corp. 8788 2/10, n/60
14,210 |
26
Paid April electric bill |
Perennial Power 3415
1,283 |
29 Issued check to owner for personal use Jenny Colo 3416
7,000 |
30 Received payment less discount Lee Services May 22 ?
30 Check issued for sales salaries Payroll 3417 5,320
Check issued for office salaries Payroll 3417 3,150
31
Cash sales for second half of month (cost $42,500) |
66,052 |
Additional information: |
a. Expired insurance |
$553 |
b. Ending store supplies inventory |
2,632 |
c. Ending office supplies inventory |
504 |
d. Estimated depreciation of store equipment |
567 |
e. Estimated depreciation of office equipment |
329 |
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