Question
1. Total each column of the special journals. Show that the total debits equal the total credits in each special journal. 2. Balance or reconcile
1. Total each column of the special journals. Show that the total debits equal the total credits in each special journal.
2. Balance or reconcile the amounts receivable subsidiary ledger and accounts receivable in the general ledger. Do the same for the accounts payabel subsidiary ledger and accounts payable in the general ledger.
Sales Journal PAGE 7 | ||||||
DATE | INVOICE NO. | ACCOUNTS DEBITED | POST. REF. | ACCOUNTS RECEIVABLE DR. SALES REVENUE CR. | COST OF GOODS SOLD DR. INVENTORY CR. | |
July | 2 | 913 | Ishikawa Corp | 24600 | 10800 | |
July | 9 | 914 | Bell Ltd | 33300 | 13860 | |
July | 15 | 915 | M.O.Brown | 3990 | 1440 | |
July | 18 | 916 | Ishikawa Corp | 2142 | 762 | |
July | 29 | 917 | Bell Ltd | 2976 | 1320 | |
Cash Receipts Journal PAGE 5 | |||||||||
DEBITS | CREDITS | COST OF GOODS SOLD DR. INVENTORY CR. | |||||||
OTHER ACCOUNTS | |||||||||
DATE | CASH | SALES DISCOUNTS | ACCOUNTS RECEIVABLE | SALES REVENUE | ACCOUNT TITLE | POST. REF. | AMOUNT | ||
July | 5 | 6462 | 6462 | Cash sales | 2880 | ||||
July | 8 | 6650 | Interest revenue | 6650 | |||||
July | 9 | 32967 | 333 | 33300 | Bell Ltd | ||||
July | 12 | 24354 | 246 | 24600 | Ishikawa Corp | ||||
July | 31 | 2142 | 2142 | Ishikawa Corp | |||||
Req.
Purchases Journal PAGE 10 | ||||||||||||
CREDITS | DEBITS | |||||||||||
OTHER ACCOUNTS | ||||||||||||
DATE | ACCOUNT CREDITED | INVOICE DATE | TERMS | POST REF. | ACCOUNTS PAYABLE | INVENTORY | SUPPLIES | ACCOUNT TITLE | POST. REF. | AMOUNT | ||
July | 3 | Nakkach | 14802 | |||||||||
July | 20 | Burgess |
|
| 12282 | |||||||
July | 28 | Manley | 8050 | |||||||||
Cash Payments Journal PAGE 8 | |||||||||
DEBITS | CREDITS | ||||||||
DATE | CHQ. NO. | ACCOUNTS DEBITED | POST REF. | OTHER ACCOUNTS | ACCOUNTS PAYABLE | INVENTORY | CASH | ||
July | 5 | Furniture | 13110 | ||||||
July | 10 | Purchases | 6858 | ||||||
July | 13 | Nakkach | 14802 | 14358 | |||||
July | 22 | Prepaid insurance | 6000 | ||||||
July | 25 | Utilities | 6718 | ||||||
July | 30 | Manley Inc | 8050 | 7889 | |||||
July | 31 | Salaries | 14082 | ||||||
Accounts Receivable Subsidiary Ledger
ACCOUNT BELL LTD. | ||||||
DATE | ITEM | JRNL. REF. | DEBIT | CREDIT | BALANCE | |
July | 9 | Bell Ltd | 6 | 33300 | 33300 | |
July | 19 | Bell Ltd | 13 | 32967 | 32967 | |
July | 19 | Bell Ltd Discount | 13 | 333 | 333 | |
July | 29 | Bell Ltd | 21 | 2976 | 2976 |
ACCOUNT M.O. BROWN | ||||||
DATE | ITEM | JRNL. REF. | DEBIT | CREDIT | BALANCE | |
July | 15 | M.O.Brown (credit sale) | 11 | 3990 | 3990 | |
July | 15 | M.O.Brown (Sold to) | 11 | 1440 | 1440 |
ACCOUNT ISHIKAWA INC. | ||||||
DATE | ITEM | JRNL. REF. | DEBIT | CREDIT | BALANCE | |
July | 2 | Ishikawa Inc (credit sale) | 1 | 24600 | 24600 | |
July | 10 | Ishikawa Inc (discount) | 8 | 246 | 246 | |
July | 10 | Ishikawa Inc | 8 | 24354 | -24354 | |
July | 18 | Ishikawa Inc (credit sale) | 13 | 2142 | -2142 |
Accounts Payable Subsidiary Ledger
ACCOUNT BURGESS DISTRIBUTING LTD. | ||||||
DATE | ITEM | JRNL. REF. | DEBIT | CREDIT | BALANCE | |
July | 15 | Burgess Distribution Ltd (Purchases) | 15 | $12,282 | -$12,282 | |
ACCOUNT NAKKACH CORP. | ||||||
DATE | ITEM | JRNL. REF. | DEBIT | CREDIT | BALANCE | |
July | 3 | Nakkach Corp (purchase of inventory) | 2 | $14,802 | -$14,802 | |
July | 13 | Nakkach Corp (Discount) | 9 | $444.06 | $444.06 | |
July | 22 | Nakkach Corp (Furniture Purchase) | 16 | $3870 | -$3870 |
ACCOUNT MANLEY, INC. | ||||||
DATE | ITEM | JRNL. REF. | DEBIT | CREDIT | BALANCE | |
July | 13 | Manley Inc (Purchase of supplies) | 10 | $8646 | -$8646 | |
July | 28 | Manley Inc | 19 | $805 | -$805 | |
July | 29 | Manley Inc (Return) | 20 | $4050 | $4050 | |
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