Question
GENERAL LEDGER Name: BANK ACCOUNT Acct No.: 100 Date Details Post Ref Debit Date Details Post Ref Credit June 1 Balance 14,632.20 June 30 Payments
GENERAL LEDGER | |||||||||
Name: BANK ACCOUNT | Acct No.: 100 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 14,632.20 | June | 30 | Payments | CPJ12 | 16,535.42 | |
30 | Receipts | CRJ14 | 9,122.24 | ||||||
July |
Name: PETTY CASH | Acct No.: 105 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 200.00 | ||||||
Name: ACCOUNTS RECEIVABLE | Acct No.: 110 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 5,760.00 | June | 30 | Bank Account | CRJ14 | 6,885.60 | |
30 | Sales | SJ10 | 8,695.60 | ||||||
July |
Name: PREPAID INSURANCE | Acct No.: 120 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 381.25 | June | 30 | Insurance | GJ20 | 381.25 | |
Name: PREPAID RATES AND TAXES | Acct No.: 130 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 164.75 | June | 30 | Rates and Taxes | GJ20 | 164.75 | |
Name: GST PAID (OUTLAYS) | Acct No.: 140 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 1,905.75 | June | 27 | Accounts Payable | GJ20 | 15.00 | |
30 | Accounts Payable | PJ11 | 527.46 | 30 | Bank Account | CPJ12 | 12.60 | ||
30 | Bank Account | CPJ12 | 90.49 | ||||||
July |
Name: BUILDINGS AND IMPROVEMENTS (COST) | Acct No.: 160 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 350,000.00 | ||||||
Name: ACCUMULATED DEPRECIATION - BLDGS AND IMPROVEMENTS | Acct No.: 161 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 43,750.00 | ||||||
30 | Depreciation | GJ20 | 729.00 | ||||||
Name: HIRE EQUIPMENT (COST) | Acct No.: 170 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 108,000.00 | June | 17 | Bank Account | CRJ14 | 599.09 | |
6 | Accounts Payable | PJ11 | 2,418.18 | 17 | Accumulated Depreciation | GJ20 | 183.91 | ||
26 | Accounts Payable | PJ11 | 1,500.00 | 27 | Accounts Payable | GJ20 | 150.00 | ||
July |
Name: ACCUMULATED DEPRECIATION - HIRE EQUIPMENT | Acct No.: 171 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 17 | HECost/Profit | GJ20 | 464.00 | June | 1 | Balance | 67,500.00 | |
30 | Depreciation | GJ20 | 1,924.00 | ||||||
July |
Name: MOTOR VEHICLES (COST) | Acct No.: 180 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 29,900.00 | ||||||
Name: ACCUMULATED DEPRECIATION - MOTOR VEHICLES | Acct No.: 181 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 8,970.00 | ||||||
30 | Depreciation | GJ20 | 498.00 | ||||||
Name: STORE EQUIPMENT (COST) | Acct No.: 190 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 14,700.00 | ||||||
Name: ACCUMULATED DEPRECIATION - STORE EQUIPMENT | Acct No.: 191 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 6,615.00 | ||||||
30 | Depreciation | GJ20 | 184.00 | ||||||
Name: ACCOUNTS PAYABLE | Acct No.: 200 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 27 | Hire Equipment/GST | GJ20 | 165.00 | June | 1 | Balance | 5,824.00 | |
30 | Bank Account | CPJ12 | 6,131.00 | 30 | Purchases | PJ11 | 5,802.00 | ||
July |
Name: GST COLLECTED | Acct No.: 210 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 30 | Bank Account | CRJ14 | 30.96 | June | 1 | Balance | 5,745.90 | |
30 | Accounts Receivable | SJ10 | 790.51 | ||||||
30 | Bank Account | CRJ14 | 234.29 | ||||||
July |
Name: PAYG WITHHOLDING PAYABLE | Acct No.: 220 | ||||||||
Date | Details | Post Ref | Debit | Date | Details | Post Ref | Credit | ||
June | 1 | Balance | 1,120.00 | ||||||
28 | Bank Account | CPJ12 | 540.00 | ||||||
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