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Aug. 1 Purchased merchandise from Able Co. for $6,000, terms 2/10, n/30. 3 Received check from Fox Co. (full balance outstanding) for July sale (less

Aug. 1 Purchased merchandise from Able Co. for $6,000, terms 2/10, n/30.

3 Received check from Fox Co. (full balance outstanding) for July sale (less the 2% discount).

3 Sent check No.757 for $4,900 to Able Co. in full payment of outstanding balance from prior | month. 4 Sold merchandise on credit to Coe Co. for $5,000, terms 2/10, n/30, Invoice No. 245. Cost of the goods sold is $2,100.

5 Purchased merchandise from Baker Co. for $6,000, terms 1/15, n/30.

8 Purchased office supplies on credit from Echo Co. for $500, terms n/30.

9 Returned merchandise costing $300 to Able Co. from August 1 purchase.

11 Paid Able Co. for the August 1 purchase, (less discount) Check No. 758.

13 Received cash payment from Coe Co. for August 4 sale (less discount).

15 Paid August rent of $1,000, Check No. 759.

15 Sold merchandise on credit to Fox Co. for $5,000, terms 2/10, n/30, Invoice No. 246. Cost of the goods sold is $2,400.

18 Sold merchandise on credit to Coe Co. for $3,000, terms 2/10, n/30, Invoice No. 247. Cost of the goods sold is $1,200.

18 Received $2,300 cash for the $2,000 note receivable from Fox Corp. (included $300 Interest).

19 Sold merchandise on credit to Thomas Co .for $6,000, terms 2/10, n/30, Invoice No. 248. Cost of the goods sold was $3,700.

20 Made cash payment in full to Baker Co. for the August 5 purchase, Check No 760.

20 Sold merchandise on credit to Fox Co. for $4,000, terms 2/10, n/30, Invoice No. 249. Cost of the goods sold was $2,000.

22 Sold merchandise on credit to Thomas Co. for $4,000, terms 2/10, n/30, Invoice No. 250. Cost of the goods sold is $2,200.

25 Received full payment less discount from Fox Co. for Aug.15 sale.

28 Recorded cash sales for the month $6,000. The cost of the goods sold was $3,000.

29 Paid Telephone Bill for August of $1.000, Check No. 761.

Paid Salaries of $500 each to 3 employees Checks 762, 763, 764.

30 Issued Check # 765 for $5,200 ($5,000 note payable and $200 interest expense)

Record the above transactions in the appropriate special journals below. Post to ledgers and prepare the trial balances.

GENERAL JOURNAL

Date

Account Title

PR

Debit

Credit

PURCHASES JOURNAL

Date

Account

Invoice

Date

Terms

PR

Account

Payable

Credit

Inventory

Debit

Office

Supplies

Debit

Other Accounts

Debit

CASH DISBURSEMENTS JOURNAL

Date

Check #

Payee

Account

Debited

PR

Cash

Credit

Merchandise

Inventory

Credit

Other

Accounts

Debit

Accounts

Payable

Debit

SALES JOURNAL

Date

Account

Debited

Invoice Number

PR

Account Receivable -Debit

Sales Credit

Cost of Good Sold Debit

Inventory Credit

CASH RECIEPTS JOURNAL

Date

Account Credited

Explanation

PR

Cash

Debit

Sales Discount Debit

Accounts Rec.

Credit

Sales Credit

Cost of Goods Sold Debit Inventory Credit

Other Account Credit

CASH 100

Date

PR

Debit

Credit

Balance

XX

Balance

XX

XX

21,000

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