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Check my work Xion Supply uses a Sales Journal, a Purchases Journal, a Cash Receipts Journal, a Cash Disbursements Journal, and a General Journal. The
Check my work Xion Supply uses a Sales Journal, a Purchases Journal, a Cash Receipts Journal, a Cash Disbursements Journal, and a General Journal. The following transactions occurred during the month of March 2020: Mar. 3 Purchased merchandise for $5,500 on credit from Pace Inc., terms 2/10, n/30. 9 Issued cheque #210 to Narlin Corp. to buy store supplies for $900. 12 Sold merchandise on credit to K. Camp for $1,340, terns n/30. Cost, $800. 17 Issued cheque #211 for $3,000 to repay a note payable to City Bank. 20 Purchased merchandise for $7,000 on credit from Lebaron, teras 2/10, 1/30. 29 Issued cheque #212 to LeBaron to pay the amount due for the purchase of March 20, less the discount. 31 Paid salary of $3,400 to E. Brandon by issuing cheque #213. 31 Issued cheque #214 to Pace Inc., to pay the amount due for the purchase of March 3. Required: Journalize the March transactions that should be recorded in the Cash Disbursements Journal assuming a periodic inventory system (Enter the transactions in the order provided in the question.) XION SUPPLY Cash Disbursements Journal Ch. No Payee Date Account Debited Purchase Discount Credit Cash Credit Other Accts. Debit Acets. Payable Debit
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