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6-6i Comprehensive Problem 2 Palisade Creek Co. is a merchandising business that uses the perpetual inventory system. The account balances for Palisade Creek Co. as

6-6i Comprehensive Problem 2

Palisade Creek Co. is a merchandising business that uses the perpetual inventory system. The account balances for Palisade Creek Co. as of May 1, 2019 (unless otherwise indicated), are as follows:

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During May, the last month of the fiscal year, the following transactions were completed:

May 1. Paid rent for May, $5,000.
3. Purchased merchandise on account from Martin Co., terms 2/10, n/30, FOB shipping point, $36,000.
4. Paid freight on purchase of May 3, $600.
6. Sold merchandise on account to Korman Co., terms 2/10, n/30, FOB shipping point, $68,500. The cost of the merchandise sold was $41,000.
7. Received $22,300 cash from Halstad Co. on account.
10. Sold merchandise for cash, $54,000. The cost of the merchandise sold was $32,000.
13. Paid for merchandise purchased on May 3.
15. Paid advertising expense for last half of May, $11,000.
16. Received cash from sale of May 6.
19. Purchased merchandise for cash, $18,700.
19. Paid $33,450 to Buttons Co. on account.
20. Paid Korman Co. a cash refund of $13,230 for returned merchandise from sale of May 6. The invoice amount of the returned merchandise was $13,500, and the cost of the returned merchandise was $8,000.
Record the following transactions on Page 21 of the journal:
20. Sold merchandise on account to Crescent Co., terms 1/10, n/30, FOB shipping point, $110,000. The cost of the merchandise sold was $70,000.
21. For the convenience of Crescent Co., paid freight on sale of May 20, $2,300.
21. Received $42,900 cash from Gee Co. on account.
21. Purchased merchandise on account from Osterman Co., terms 1/10, n/30, FOB destination, $88,000.
24. Returned damaged merchandise purchased on May 21, receiving a credit memo from the seller for $5,000.
26. Refunded cash on sales made for cash, $7,500. The cost of the merchandise returned was $4,800.
28. Paid sales salaries of $56,000 and office salaries of $29,000.
29. Purchased store supplies for cash, $2,400.
30. Sold merchandise on account to Turner Co., terms 2/10, n/30, FOB shipping point, $78,750. The cost of the merchandise sold was $47,000.
30. Received cash from sale of May 20 plus freight paid on May 21.
31. Paid for purchase of May 21, less return of May 24.

Instructions

4. At the end of May, the following adjustment data were assembled. Analyze and use these data to complete (5) and (6).

6. Journalize and post the adjusting entries. Record the adjusting entries on Page 22 of the journal.

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Part 1)

The journal entries are as follows:

Date Account Titles Debit Credit
May 01 Rent Expense $5,000
Cash $5,000
May 03 Merchandise Inventory $36,000
Accounts Payable - Martin Co. $36,000
May 04 Merchandise Inventory (Freight) $600
Cash $600
May 06 Accounts Receivables - Korman Co. $68,500
Sales $68,500
Cost of Goods Sold $41,000
Merchandise Inventory $41,000
May 07 Cash $22,300
Accounts Receivables - Halstad Co. $22,300
May 10 Cash $54,000
Sales $54,000
Cost of Goods Sold $32,000
Merchandise Inventory $32,000
May 13 Accounts Payable - Martin Co. $36,000
Cash (36,000*98%) $35,280
Merchandise Inventory (36,000*2%) $720
May 15 Advertising Expense $11,000
Cash $11,000
May 16 Cash (68,500*98%) $67,130
Sales Discount (68,500*2%) $1,370
Accounts Receivables - Korman Co. $68,500
May 19 Merchandise Inventory $18,700
Cash $18,700
May 19 Accounts Payable - Buttons Co. $33,450
Cash $33,450
May 20 Sales Return and Allowances $13,230
Cash $13,230
Merchandise Inventory $8,000
Cost of Goods Sold $8,000
May 20 Accounts Receivables - Crescent Co. $1,10,000
Sales $1,10,000
Cost of Goods Sold $70,000
Merchandise Inventory $70,000
May 21 Accounts Receivables - Crescent Co. $2,300
Cash $2,300
May 21 Cash $42,900
Accounts Receivables - Gee Co. $42,900
May 21 Merchandise Inventory $88,000
Accounts Payable - Osterman Co. $88,000
May 24 Accounts Payable - Osterman Co. $5,000
Merchandise Inventory $5,000
May 26 Sales Return and Allowances $7,500
Cash $7,500
Merchandise Inventory $4,800
Cost of Goods Sold $4,800
May 28 Sales Salaries Expense $56,000
Office Salaries Expense $29,000
Cash $85,000
May 29 Store Supplies $2,400
Cash $2,400
May 30 Accounts Receivables - Turner Co. $78,750
Sales $78,750
Cost of Goods Sold $47,000
Merchandise Inventory $47,000
May 30 Cash [110,000*99% + 2,300] $111,200
Sales Discount (110,000*1%) $1,100
Accounts Receivables - Crescent Co. $112,300
May 31 Accounts Payable - Osterman Co. $83,000
Cash [(88,000 - 5,000)*99%] $82,170
Merchandise Inventory [(88,000 - 5,000)*1%] $830

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