FULL SCREEN PRINTER VERSION RAK Problem 5-4A Monty Warehouse distributes suitcases to retail stores and extends credit terms of n/30 to all of its customers. Monty Warehouse uses a perpetual inventory system and at the end of June its inventory consisted of 30 suitcases purchased at $30 each. During the month of July, the following merchandising transactions occurred: July 1 Purchased 50 suitcases on account for $30 each from Trunk Manufacturers, terms 1/30, FOB destination. 2 The correct company paid $140 freight on the July 1 purchase 4 Received $150 credit for five suitcases returned to Trunk Manufacturers because they were damaged. 10 Sold 45 suitcases that cost $30 each to Satchel World for $65 each on account. 12 Issued a $325 credit for five suitcases returned by Satchel World because they were the wrong colour. The suitcases were returned to inventory 15 Purchased 60 additional suitcases from Trunk Manufacturers for $26.00 each, terms n/30, FOB shipping point. 18 The company paid $150 freight on the July 15 purchase. 21 Sold 35 suitcases that cost $30 each to Fly By Night for $65 each on account. 23 Gave Fly-By-Night a $130 credit for two returned suitcases. The suitcases had been damaged and were sent to the recycers. 30 Pald Trunk Manufacturers for the July 1 purchase. 31 Received balance owing from Satchel World. Record the transactions for the month of July for Monty Warehouse. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter o for the amounts. Record journal entries in the order presented in the problem.) Debit Credit Date Account Titles and Explanation 11:21 2020 Skegby Rd (1).m4a 4 ENG o earch hp FULL SCREEN PUNIER VERSION BACK Date Account Titles and Explanation Debit Credit (To record sales)