Answered step by step
Verified Expert Solution
Link Copied!

Question

1 Approved Answer

1. Using the information and pic provided. Enter the transactions below into the Specialised Journals and then show the transactions into the General journal and

image text in transcribedimage text in transcribed

1. Using the information and pic provided. Enter the transactions below into the Specialised Journals and then show the transactions into the General journal and Ledger Accounts. have been provided with an General Journal and Not Ledger Accounts. Need to finish this task by entering the relevant information.

The opening and reversing entries have been completed

Transactions

July 3 Issued Cheque number 718 to Amped Up Industries. The cheque amount was $269.50 and a discount of $5.50 (including GST of $0.50) was received for early payment.

July 4 Purchased 200 metres of cabling from Clips n Cables (Invoice 3081) for $9.50 per metre, plus a total freight charge of $100 and total GST of $200.

July 6 Sold 15 Energy Saving Timers for $25 each, plus a total GST of $37.50 to Medical Centres SA (Invoice 4296)

July 10 Purchased 20 safety switches from Amped Up Industries (invoice 7050) for $12 each, plus a total freight charge of $60 and total GST of $30.

July12 Cash Sale of 30 power boards with surge protection for $25 each plus a total GST of $75 to Heather Philips (Receipt 286)

July 14 Paid "The Advertiser Newspaper" (Chq 725) $660 (GST included) for advertising in the local paper.

July 18 Sold 150 metres of cabling for $12.50 per metre plus a total GTS of 187.50 to Gully Construction (Invoice 4297)

July 20 Issued Cheque number 719 to Safety First. The cheque amount was $1463 as full payment of their account.

Transactions continued

July 23 Received full payment from Gully Contraction for Invoice 4297. A 10% discount of $206.25 (including GST of $18.75) was applied for early payment.

July 23 Cash Sale of 50 power boards with USB points for $35 each plus a total GST of $175 was made to the local community housing group. (Receipt 287)

July 26 Purchased 30 power point covers with LED lighting from Action Limited (invoice 54279) for $10 each, plus a total freight charge of $40 and total GST of $34.

July 29 Steve Parks withdrew $750 cash for personal use. (Receipt 288)

A stocktake on July 31 reveals $12 660 worth of inventory on hand.

2

Once completed the data entry above, you will need finish Schedules for Accounts Receivable and Accounts Payable and need to create a Balance Sheet dated 31 July 2022.

Use the information below to complete 1 and 2.

image text in transcribed

Continue of the above data

image text in transcribed

Step by Step Solution

There are 3 Steps involved in it

Step: 1

blur-text-image

Get Instant Access to Expert-Tailored Solutions

See step-by-step solutions with expert insights and AI powered tools for academic success

Step: 2

blur-text-image

Step: 3

blur-text-image

Ace Your Homework with AI

Get the answers you need in no time with our AI-driven, step-by-step assistance

Get Started

Recommended Textbook for

Advanced Financial Accounting

Authors: Theodore E. Christensen, David M. Cottrell, Richard E. Baker

10th edition

78025621, 978-0078025624

Students also viewed these Accounting questions