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At the beginning of November, Madison decides to expand her business by selling fine European mixers. The owner of Batter Blender Supply Co. has approached

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At the beginning of November, Madison decides to expand her business by selling fine European mixers. The owner of Batter Blender Supply Co. has approached Madison to become the exclusive distributor of these fine mixers in her state. The current cost of a mixer is $580, and Madison plans to sell each mixer for $1,200. Each appliance has a serial number and can be easily identified. Madison uses the perpetual inventory system to account for these fine mixers. She also decides to start using special journals and subsidiary ledgers to help keep track of her new customers and vendors, sales and purchases, and cash flows. (Hint: Refer to Chapter 11 to calculate the cost of inventory.) The following transactions occurred during the month of November Nov. 4 Bought five mixers on account from Batter Blender Supply Co. for $ 2,900, terms n/30. 6 Paid $75 freight on the November 4 purchase. Check 158. I 9 Bought four mixers on account from Batter Blender Supply Co. for $ 2,320, terms n/30. 10 Madison is concerned that there is not enough cash available to pay for all of the mixers purchased. She invests an additional $2,000 cash in Sweet Treats. 11 Paid $60 freight on the November 9 purchase. Check 159. 15 Madison issued a check to her assistant for all the help at the elementary school on October 30. (Recall this amount was accrued at the end of October.) Check 160. 20 Paid a $155 cell phone bill (Hint: Use Utilities Expense). Check 161. 21 Paid Batter Blender the amount due from the November 4 purchase. Check 162 22 Collected $300 from the October 30 transaction with Newbury Elementary School. 23 Three mixers are sold to Peter's Pastries on account for $3,600, terms n/30. Invoice 1011. (Hint You must record both the revenue and expense components on all sales transactions.) 11 Paid $60 freight on the November 9 purchase. Check 159. 15 Madison issued a check to her assistant for all the help at the elementary school on October 30. (Recall this amount was accrued at the end of October.) Check 160. 20 Paid a $155 cell phone bill (Hint: Use Utilities Expense). Check 161 21 Paid Batter Blender the amount due from the November 4 purchase. Check 162 22 Collected $300 from the October 30 transaction with Newbury Elementary School. 23 Three mixers are sold to Peter's Pastries on account for $3,600, terms n/30. Invoice 1011. (Hint: You must record both the revenue and expense components on all sales transactions.) 26 Sold three mixers for $3,600 cash. 29 Paid Batter Blender the amount due from the November 9 purchase. Check 163. 30 Paid her assistant for the last two weeks of November in the amount of $960. Check 164 30 Madison withdrew $750 cash for personal use. Check 165. As of November 30, the following adjusting entry data is available. 1. A count of baking supplies reveals that none were used in November 2. Another month's worth of depreciation needs to be recorded on the baking equipment bought in October 3. One month's worth of insurance has expired 4. Madison records another month of accrued interest on her grandma's loan. Sales Journal S1 Date Account Debited Invoice No. Accts. Rec. Dr. Sales Rev. Cr. Ref. COGS DE Inventory 3 November Totals Accounts 112 and 401 4 5 Sales Journal Invoice No. Date S2 COGS Dr. Inventory Cr. Account Debited Ref. Accts. Rec. Dr. Sales Rev. Cr. 6 17 178 79 20 11 Chart of Accounts General Journal General Ledger Purchases Journal Cash Payments Journal A B D Cash Receipts Journal Accts, Rec Sales Rev. Cr H CR1 Other COGS DE Accounts Or Inventory. Date Account Credited Rel. Cash Dr. Cr, November Totals Accounts 5 7 Cash Receipts Journal B 9 20 21 22 Date Accts. Rec. Cr. CR2 Other COGS Dr. Accounts Cr. Inventory Cr Account Credited Sales Rev. Cr. Ref. Cash Dr. Chart of Accounts General Journal General Ledger Purchases Journal Cash Payments Journal Sales Journal Accounts Receivable Subsidiary ledger agel Depot Date Ref. Debit Bakery Buns Date Credit Balance Rel. Debit Credit Balance Chop House Date Newbury Elementary School Date Ref. Debit Ref. Debit Credit Balance Credit Balance 5 6 7 18 19 Peter's Pastries 20 Date Ref. 21 22 Debit Credit Seafood Shack Date Ref. Balance Debit Credit Balance Sales Journal Cash Receipts Journal AR Sub Ledger Inventory Ledger AP Sub Ledger October Worksheet Novem B D H E G Accounts Payable Subsidiary Ledger Batter Blender Supply Co. Date Ref. Debit Garcia Co. Date Credit Balance Ref. Debit Credit 3 9 10 11 12 13 14 15 16 17 18 19 20 21 22 HER Sales Journal Cash Receipts Journal AR Sub Ledger Inventory Ledger AP Sub Ledger October At the beginning of November, Madison decides to expand her business by selling fine European mixers. The owner of Batter Blender Supply Co. has approached Madison to become the exclusive distributor of these fine mixers in her state. The current cost of a mixer is $580, and Madison plans to sell each mixer for $1,200. Each appliance has a serial number and can be easily identified. Madison uses the perpetual inventory system to account for these fine mixers. She also decides to start using special journals and subsidiary ledgers to help keep track of her new customers and vendors, sales and purchases, and cash flows. (Hint: Refer to Chapter 11 to calculate the cost of inventory.) The following transactions occurred during the month of November Nov. 4 Bought five mixers on account from Batter Blender Supply Co. for $ 2,900, terms n/30. 6 Paid $75 freight on the November 4 purchase. Check 158. I 9 Bought four mixers on account from Batter Blender Supply Co. for $ 2,320, terms n/30. 10 Madison is concerned that there is not enough cash available to pay for all of the mixers purchased. She invests an additional $2,000 cash in Sweet Treats. 11 Paid $60 freight on the November 9 purchase. Check 159. 15 Madison issued a check to her assistant for all the help at the elementary school on October 30. (Recall this amount was accrued at the end of October.) Check 160. 20 Paid a $155 cell phone bill (Hint: Use Utilities Expense). Check 161. 21 Paid Batter Blender the amount due from the November 4 purchase. Check 162 22 Collected $300 from the October 30 transaction with Newbury Elementary School. 23 Three mixers are sold to Peter's Pastries on account for $3,600, terms n/30. Invoice 1011. (Hint You must record both the revenue and expense components on all sales transactions.) 11 Paid $60 freight on the November 9 purchase. Check 159. 15 Madison issued a check to her assistant for all the help at the elementary school on October 30. (Recall this amount was accrued at the end of October.) Check 160. 20 Paid a $155 cell phone bill (Hint: Use Utilities Expense). Check 161 21 Paid Batter Blender the amount due from the November 4 purchase. Check 162 22 Collected $300 from the October 30 transaction with Newbury Elementary School. 23 Three mixers are sold to Peter's Pastries on account for $3,600, terms n/30. Invoice 1011. (Hint: You must record both the revenue and expense components on all sales transactions.) 26 Sold three mixers for $3,600 cash. 29 Paid Batter Blender the amount due from the November 9 purchase. Check 163. 30 Paid her assistant for the last two weeks of November in the amount of $960. Check 164 30 Madison withdrew $750 cash for personal use. Check 165. As of November 30, the following adjusting entry data is available. 1. A count of baking supplies reveals that none were used in November 2. Another month's worth of depreciation needs to be recorded on the baking equipment bought in October 3. One month's worth of insurance has expired 4. Madison records another month of accrued interest on her grandma's loan. Sales Journal S1 Date Account Debited Invoice No. Accts. Rec. Dr. Sales Rev. Cr. Ref. COGS DE Inventory 3 November Totals Accounts 112 and 401 4 5 Sales Journal Invoice No. Date S2 COGS Dr. Inventory Cr. Account Debited Ref. Accts. Rec. Dr. Sales Rev. Cr. 6 17 178 79 20 11 Chart of Accounts General Journal General Ledger Purchases Journal Cash Payments Journal A B D Cash Receipts Journal Accts, Rec Sales Rev. Cr H CR1 Other COGS DE Accounts Or Inventory. Date Account Credited Rel. Cash Dr. Cr, November Totals Accounts 5 7 Cash Receipts Journal B 9 20 21 22 Date Accts. Rec. Cr. CR2 Other COGS Dr. Accounts Cr. Inventory Cr Account Credited Sales Rev. Cr. Ref. Cash Dr. Chart of Accounts General Journal General Ledger Purchases Journal Cash Payments Journal Sales Journal Accounts Receivable Subsidiary ledger agel Depot Date Ref. Debit Bakery Buns Date Credit Balance Rel. Debit Credit Balance Chop House Date Newbury Elementary School Date Ref. Debit Ref. Debit Credit Balance Credit Balance 5 6 7 18 19 Peter's Pastries 20 Date Ref. 21 22 Debit Credit Seafood Shack Date Ref. Balance Debit Credit Balance Sales Journal Cash Receipts Journal AR Sub Ledger Inventory Ledger AP Sub Ledger October Worksheet Novem B D H E G Accounts Payable Subsidiary Ledger Batter Blender Supply Co. Date Ref. Debit Garcia Co. Date Credit Balance Ref. Debit Credit 3 9 10 11 12 13 14 15 16 17 18 19 20 21 22 HER Sales Journal Cash Receipts Journal AR Sub Ledger Inventory Ledger AP Sub Ledger October

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