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Garcia Company completes these transactions and events during March of the current year (terms for all its credit sales are 2/10, n/30). March 1 Purchased

Garcia Company completes these transactions and events during March of the current year (terms for all its credit sales are 2/10, n/30).

March 1 Purchased $44,400 of merchandise from Turner Industries, terms 2/15, n/30.
March 2 Sold merchandise on credit to Clinton Company, Invoice Number 854, for $26,400 (cost is $16,000).
March 3 Purchased $1,900 of office supplies on credit from King Company, terms n/30.
March 3 Sold merchandise on credit to Jaden Thompson, Invoice Number 855, for $18,000 (cost is $10,800).
March 6 Borrowed $98,000 cash from Federal Bank by signing a long-term note payable.
March 9 Purchased $22,150 of office equipment on credit from Zhang Supply, terms n/30.
March 10 Sold merchandise on credit to Jean Clark, Invoice Number 856, for $14,400 (cost is $8,600).
March 12 Received payment from Clinton Company for the March 2 sale less the discount of $528.
March 13 Sent Turner Industries Check Number 416 in payment of the March 1 invoice less the discount of $888.
March 13 Received payment from Jaden Thompson for the March 3 sale less the discount of $360.
March 14 Purchased $39,000 of merchandise from the Lane Company, terms 2/10, n/30.
March 15 Issued Check Number 417 for $19,900, payee is Payroll, in payment of sales salaries expense for the first half of the month.
March 15 Cash sales for the first half of the month are $42,000 (cost is $25,200). These cash sales are recorded in the cash receipts journal on March 15.
March 16 Purchased $1,800 of store supplies on credit from King Company, terms n/30.
March 17 Returned $4,000 of unsatisfactory merchandise purchased on March 14 to Lane Company. Garcia reduces accounts payable by that amount.
March 19 Returned $3,320 of office equipment purchased on March 9 to Zhang Supply. Garcia reduces accounts payable by that amount.
March 20 Received payment from Jean Clark for the sale of March 10 less the discount of $288.
March 23 Issued Check Number 418 to Lane Company in payment of the March 14 purchase less the March 17 return and the discount of $700.
March 27 Sold merchandise on credit to Jean Clark, Invoice Number 857, for $32,000 (cost is $19,200).
March 28 Sold merchandise on credit to Jaden Thompson, Invoice Number 858, for $10,800 (cost is $6,500).
March 31 Issued Check Number 419 for $19,900, payee is Payroll, in payment of sales salaries expense for the last half of the month.
March 31 Cash sales for the last half of the month are $37,800 (cost is $22,700). These cash sales are recorded in the cash receipts journal on March 31.

General Journal tab - Each transaction is recorded in either a special journal, or directly in the general journal. If a transaction is to be recorded in a special journal, select "Entered in special journal" in the first account field. Otherwise, prepare the general journal entry. Prepare a journal entry for each of the special journals at month-end.

General Ledger and Trial Balance tabs - Journal entries are posted automatically to the general ledger and trial balance.

Cash Receipts Journal tab - Enter the transactions that are properly included in this special journal.

Cash Disbursements Journal tab - Enter the transactions that are properly included in this special journal.

Purchases Journal tab - Enter the transactions that are properly included in this special journal.

Sales Journal tab - Enter the transactions that are properly included in this special journal.

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