Answered step by step
Verified Expert Solution
Question
1 Approved Answer
1. Set up a Sales Journal (page SJ7) with the following headings: Date, Name of Customer, Invoice No., Terms, Folio, Accounts Receivable Dr., Sale Cr.,
1. Set up a Sales Journal (page SJ7) with the following headings: Date, Name of Customer, Invoice No., Terms, Folio, Accounts Receivable Dr., Sale Cr., GST Payable Cr. 2. Set up a Cash Receipts Journal (page CR7) with the following headings: Date, Account Cr., Memo, Folio, Accounts Receivable Cr., Sales Cr., GST Payable Cr., General Ledger Cr., and Bank Dr. 3. Record the following transactions for Jackimon Specialties, located in Wainwright, Alberta. Add 5\% GST to all sales. 202 Cheques received on account from B. Parker, $325 on Invoice #816, and Dale Barclay, $215 on Invoice #802. May 2 Sold on terms of net 10 days to L. Porth, $125 plus GST, Invoice #835. 3 Mona Alise sent a cheque for $625 as a partial payment on Invoice #822 dated April 17. 5 Received cheque from Peter Greene, $404.91, on overdue account of $396 plus interest for three months at 9% per annum (per year). A two-line entry is required for this transaction. 7 Sold on account to M. O'Sullivan, \$300 plus GST, Invoice #836, terms net 10 days. 8 Cash sales for the week, $2,890.65 plus GST. 12 Received cheque from L. Porth in full payment of Invoice #835. (Check the Sales Journal to find full amount of this invoice.) 15 Cash sales for the week, $3,133.20 plus GST. 15 Sold on terms of net 10 days to L. Porth, $220 plus GST, Invoice #837. 17 Received full payment from M. O'Sullivan on Invoice #836. (Check the Sales Journal to find full amount of this invoice.) 20 Received cheques from Alison Clements on Invoice #831, \$84.50, and Angie Joli on Invoice #833, \$40.75. 22 Cash sales for the week, $2,923.70 plus GST. 24 Sold on terms of net 10 days to M. O'Sullivan, \$540 plus GST, Invoice #838, and to L. Porth, \$110 plus GST, Invoice #839. 25 Received partial payment of $150 from L. Porth on Invoice #837. 29 Cash sales for the week, $3,286.15 plus GST. 4. Total and rule the journals. Prove equal debits and credits. (No posting is required.) SALES JOURNAL CASH RECEIPTS JOURNAL
Step by Step Solution
There are 3 Steps involved in it
Step: 1
Get Instant Access to Expert-Tailored Solutions
See step-by-step solutions with expert insights and AI powered tools for academic success
Step: 2
Step: 3
Ace Your Homework with AI
Get the answers you need in no time with our AI-driven, step-by-step assistance
Get Started