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Assume it is Monday, May 1, the first business day of the month, and you have just been hired as the accountant for Colo Company,

Assume it is Monday, May 1, the first business day of the month, and you have just been hired as the accountant for Colo Company, which operates with monthly accounting periods. All of the companys accounting work is completed through the end of April, and its ledgers show April 30 balances. During your first month on the job, the company experiences the following transactions and events (terms for all its credit sales are 2/10, n/30 unless stated differently):

May. 1 Issued Check No. 3410 to S&P Management Co. in payment of the May rent for $3,710. Charge $2,968 to Rent ExpenseSelling Space, and charge $742 to Rent ExpenseOffice Space. (Use two lines to record the transaction.)
2 (a) Sold merchandise on credit to Hensel Company, Invoice No. 8785, for $6,100 (cost is $4,100).
2 (b) Issued an allowance (price reduction) of $175 to Knox Co. for merchandise sold on April 28. The total selling price (gross) was $4,725.
3 Issued a refund of $798 to Peyton Products for the return of merchandise purchased on April 29. Colo's accounts payable was reduced by that amount.
4 Purchased the following on credit from Gear Supply Co.: merchandise, $37,072; store supplies, $574; and office supplies, $83. Invoice dated May 4, terms n/10 EOM.
5 Received payment from Knox Co. for the balance from the April 28 ($4,550) sale less the May 2 return and the $91 discount.
8 Issued Check No. 3411 to Peyton Products to pay for the $7,098 of merchandise purchased on April 29 less the May 3 return and the $126 discount.
9 Sold store supplies (noninventory) to the merchant next door at their cost of $350 cash.
10 Purchased $4,074 of office equipment on credit from Gear Supply Co., terms n/10 EOM.
11 (a) Received payment from Hensel Company for the May 2 sale less the discount of $122.
11 (b) Purchased $8,800 of merchandise from Garcia, Inc., terms 2/10, n/30.
12 Received a $854 price reduction from Gear Supply Co. for the return of office equipment received on May 10. Colo debited accounts payable by that amount.
15 (a) Issued Check No. 3412, payable to Payroll, in payment of sales salaries, $5,320, and office salaries, $3,150.
15 (b) Cash sales for the first half of the month are $59,220 (cost is $38,200). These cash sales are recorded in the cash receipts journal on May 15.
15 (c) Post to the customer and creditor accounts. Also post individual items that are not included in column totals at the end of the month to the general ledger accounts.
16 Sold merchandise on credit to Hensel Company, Invoice No. 8786, for $3,990 (cost is $1,890).
17 Purchased $13,650 of merchandise from Fink Corp., terms 2/10, n/60.
19 Issued Check No. 3413 to Garcia, Inc., in payment of its May 11 purchase less the discount of $176.
22 Sold merchandise to Lee Services, Invoice No. 8787, for $6,850 (cost is $4,990), terms 2/10, n/60.
23 Issued Check No. 3414 to Fink Corp. in payment of its May 17 purchase less the discount of $273.
24 Purchased the following on credit from Gear Supply Co.: merchandise, $8,120; store supplies, $630; and office supplies, $280. Terms n/10 EOM.
25 Purchased $3,080 of merchandise from Peyton Products, terms 2/10, n/30.
26 (a) Sold merchandise on credit to Crane Corp., Invoice No. 8788, for $14,210 (cost is $8,230).
26 (b) Issued Check No. 3415 to Perennial Power in payment of the May electric bill, $1,283.
29 The owner of Colo Company, Jenny Colo, used Check No. 3416 to withdraw $7,000 cash from the business for personal use.
30 (a) Received payment from Lee Services for the May 22 sale less the discount of $137.
30 (b) Issued Check No. 3417, payable to Payroll, in payment of sales salaries, $5,320, and office salaries, $3,150.
31 (a) Cash sales for the last half of the month are $66,052 (cost is $42,500). These cash sales are recorded in the cash receipts journal on May 31.
31 (b) Post to the customer and creditor accounts. Also post individual items that are not included in column totals at the end of the month to the general ledger accounts. Foot and crossfoot the journals and make the month-end postings.

Assume a perpetual inventory system.

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month-end postings. Assume a perpetual inventory system. Required: 1-a. Enter the transactions in a sales journal. 1-b. Enter the transactions in a purchases journal. 1-c. Enter the transactions in a cash receipts journal. 1-d. Enter the transactions in a cash payments journal. 1-e. Enter the transactions in a general journal. Complete this question by entering your answers in the tabs below. Reg 1A Req 1B Req 1C Req 1D Reg 1E Enter the transactions in a sales journal. SALES JOURNAL Date Account Debited Invoice Number Accounts Receivable Dr. Sales Cr. Cost of Goods Sold Dr. Inventory Cr. May 31 Totals $ 0 $ 0 I Reg 14 Req13 > Required: 1-a. Enter the transactions in a sales journal. 1-b. Enter the transactions in a purchases journal. 1-c. Enter the transactions in a cash receipts journal. 1-d. Enter the transactions in a cash payments journal. 1-e. Enter the transactions in a general journal. Complete this question by entering your answers in the tabs below. Req 1A Reg 1B Reg 1C Reg 1D Req 1E Enter the transactions in a purchases journal. PURCHASES JOURNAL Date of Terms Invoice Date Accounts Payable Cr. Account Other Accounts Inventory Dr. Office Supplies Dr. / May 31 Totals 0 $ 0 $ 0 $ 0 Required: 1-a. Enter the transactions in a sales Journal 1-b. Enter the transactions in a purchases journal. 1-c. Enter the transactions in a cash receipts journal. 1-d. Enter the transactions in a cash payments journal. 1-e. Enter the transactions in a general journal. Complete this question by entering your answers in the tabs Reg 1A Req 1B Reg 1C Req 1D Req 1E Enter the transactions in a cash receipts journal. CASH RECEIPTS JOURNAL Sales Accounts Date Account Credited Cash Dr. Discount Receivable Dr. Other Cost of Goods eceivable Sales Sales Cr. Sold Dr. Accts. Cr. Inventory Cr. May 31 Totals 0 $ 0 $ 0 $ (Prey 7 of 8 ! Next > Complete this question by entering your answers in the tabs below. Reg 1D Req 1E Req 1A Reg 1B Req 1C Enter the transactions in a cash payments journal. (Enter the transactions in chronological order.) CASH PAYMENTS JOURNAL Other Accounts Inventory Accounts Payable Dr. Cash Cr. Date Ck.No. Payee Account Debited cr. Dr. NULL May 31 Totals $ 0S 0S 0S 0 Req 1C Req 10 Reg 1E Req 18 Req 1A Enter the transactions in a general journal. View transaction list Journal entry worksheet 2 3 Issued an allowance (price reduction) of $175 to Knox Co. for merchandise sold on April 28. The total selling price (gross) was $4,725. Note: Enter debits before credits, General Journal Debit Credit Date May 02 Record entry Clear entry View general journal Reg 10 Req 1A Req 10 1 Req 1C Req 1D Req 1E Enter the transactions in a general journal. View transaction list Journal entry worksheet

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