Question
Choose the correct answer **please help me answering it** :) 13. After Posting the transactions for Cash in the General Ledger Total Cr. side of
Choose the correct answer **please help me answering it** :)
13. After Posting the transactions for Cash in the General Ledger Total Cr. side of Cash account in General Ledger isRequired to answer. Single choice.
- 15160
- 14860
- 15260
- 14560
.
14.Ending Balance for cash account will be:Required to answer. Single choice.
- 30340
- 30240
- 30940
- 30640
.
15.Ending Balance for Accounts Payable account will be:Required to answer. Single choice.
-11000
-10000
-1000
-0
.
please make sure the answer is correct 100%
HERE is the previous info to the question
-4/1 Khalid invested KD 40,000 cash in his new business. On the debit side of the entryRequired to answer. Single choice.
-4/1 Purchased office supplies for a total price of KD 1,000. A cash payment of KD 600 was made and a note payable was issued for the balance of the purchased price.
-4/2 Purchased merchandise on credit from Nasser K.D.11000. Terms, 3/10, n/30.
-4/27 Withdrew KD 500 for personal use.
-4/30 Office Supplies on hand is KD 300.
-4/3 Paid freight charges of K.D. 60 on inbound Shipment of merchandise purchased from Nasser.
-4/7 Returned a defective merchandise of KD 1000 to Nasser and received a full credit.
-4/10 Paid Nasser the remaining amount owed for 4/2 purchase.
-4/11 Sold merchandise on account to Fahad, KD 6000 with terms of 2/7, n/30.
-4/14 Fahad returned wrong style merchandise, KD 500 and received a full credit
-4/19 Received check from Fahad in full settlement of the 4/11 sale
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