Question
Hi, please help with the question below! Answer the question ONLY in the case you can guarantee that you will answer them all. If you
Hi, please help with the question below! Answer the question ONLY in the case you can guarantee that you will answer them all. If you do not want to answer them all, please do not answer this question and waste the chance of others. The answer format should look EXACTLY THE SAME as the chart below. Thank you!!
Record the journal entry below.
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.
1. Mar. 1) Purchased $45,700 of merchandise from Walker Industries, invoice dated March 1, terms 2/15, n/30.
2. Mar. 2) Sold merchandise on credit to Garcia Co., Invoice No. 854, for $42,000 (cost is $25,000).
3. Mar. 3) Purchased $1,300 of office supplies on credit from Lee Company, invoice dated March 3, terms n/10 EOM.
4. Mar. 3) Sold merchandise on credit to Hillary Mannion, Invoice No. 855, for $15,000 (cost is $9,000).
5. Mar. 6) Borrowed $88,000 cash from Federal Bank by signing a long-term note payable.
6. Mar. 9) Purchased $21,950 of office equipment on credit from Taylor Supply, invoice dated March 9, terms n/10 EOM.
7. Mar. 10) Sold merchandise on credit to Susan Allen, Invoice No. 856, for $12,000 (cost is $7,200).
8. Mar. 12) Received payment from Garcia Co. for the March 2 sale less the discount.
9. Mar. 13) Sent Walker Industries Check No. 416 in payment of the March 1 invoice less the discount.
10. Mar. 13) Received payment from Hillary Mannion for the March 3 sale less the discount.
11. Mar. 14) Purchased $49,400 of merchandise from the Wright Co., invoice dated March 13, terms 2/10, n/30.
12. Mar. 15) Issued Check No. 417, payable to Payroll, in payment of sales salaries expense for the first half of the month, $22,500. Cashed the check and paid the employees.
13. Mar. 15) Cash sales for the first half of the month are $39,000 (cost is $23,400).
14. Mar. 16) Purchased $3,000 of store supplies on credit from Lee Company, invoice dated March 16, terms n/10 EOM.
15. Mar. 17) Received a $5,400 credit memorandum from Wright Co. for the return of unsatisfactory merchandise purchased on March 14.
16. Mar. 19) Received a $3,290 credit memorandum from Taylor Supply for office equipment received on March 9 and returned for credit.
17. Mar. 20) Received payment from Susan Allen for the sale of March 10 less the discount.
18. Mar. 23) Issued Check No. 418 to Wright Co. in payment of the invoice of March 13 less the March 17 return and the discount.
19. Mar. 27) Sold merchandise on credit to Susan Allen, Invoice No. 857, for $26,000 (cost is $15,600).
20. Mar. 28) Sold merchandise on credit to Hillary Mannion, Invoice No. 858, for $9,000 (cost is $5,400).
21. Mar. 31) Issued Check No. 419, payable to Payroll, in payment of sales salaries expense for the last half of the month, $22,500. Cashed the check and paid the employees.
22. Mar. 31) Cash sales for the last half of the month are $35,100 (cost is $21,100).
23. Enter the month-end totals from the Cash Receipts journal.
24. Enter the month-end totals from the Cash Disbursements journal.
25. Enter the month-end totals from the Purchases journal.
26. Enter the month-end totals from the Sales journal.
0 0 9h 5h t$rt eliMcti he teh Ma fetise .stcs tss( hte tan d2notyl s v h e a 2 pdi ees th-ce fa8e 1 g15s to105 sif eIT 2 )fh n astiyan-on eiras tl s isa fril al p a f 4 nfP pl t ell Ppt iGpHdqSC No M i t e o e p a altSHtef teddnos1 1.1 ri sa ttlhf tstF e ica ddrfdaci es me re f re f of re G s H me pas du tiiS to re re pas coch ftf 4aeo 45 d 1, d 8, 21 d ym 1 y 49 k h f h 353 ym k d d k h f acaac derd1deCt1 dddC hiii uhhyceeeudduhh 123369023345 5 67903781 1 PurchasesSales Journal Journal General Ledger Cash Rec Journal Cash Disb Journal Trial Balance Requirement General Journal Each journal entry is posted automatically to the general ledger. Think of the general ledger as sorting all of your journal entries by account title. Click on any of the individual amounts to return to the underlying journal entry General Ledger Account Cash Accounts receivable No Date Debit Credit Balance No Date Debit Credit Balance 51,000 Mar 01 27,200 Mar 01 S. Knight, Capital Inventory Date Debit Credit Balance Date Debit Credit Balance Mar 01 16,000 94,200 Mar 01 Trial Balance> K General Journal PurchasesSales Journal Journal Cash Distb Journal General Ledger Cash Rec Journal Trial Balance Requirement General Journal The trial balance is a listing of all account balances from the General Ledger as of a specific date. Click on any individual account balance to return to the General Ledger. The trial balance is only as accurate as the underlying journal entries. If the total debits do not equal the total credits, you must have a journal entry that is out of balance. If you have an abnormal ending balance (indicated with brackets in the general ledger), you should review the journal entries that affected that account to ensure that the journal entries are correct Show less Knight Company Trial Balance March 31, 2017 Account Title Debit Credit Cash Accounts receivable Inventory S. Knight, Capital 27,200 51,000 16,000 94.200 Total 94,200 S 94,200 General Ledger Cash Rec Journal 0 0 9h 5h t$rt eliMcti he teh Ma fetise .stcs tss( hte tan d2notyl s v h e a 2 pdi ees th-ce fa8e 1 g15s to105 sif eIT 2 )fh n astiyan-on eiras tl s isa fril al p a f 4 nfP pl t ell Ppt iGpHdqSC No M i t e o e p a altSHtef teddnos1 1.1 ri sa ttlhf tstF e ica ddrfdaci es me re f re f of re G s H me pas du tiiS to re re pas coch ftf 4aeo 45 d 1, d 8, 21 d ym 1 y 49 k h f h 353 ym k d d k h f acaac derd1deCt1 dddC hiii uhhyceeeudduhh 123369023345 5 67903781 1 PurchasesSales Journal Journal General Ledger Cash Rec Journal Cash Disb Journal Trial Balance Requirement General Journal Each journal entry is posted automatically to the general ledger. Think of the general ledger as sorting all of your journal entries by account title. Click on any of the individual amounts to return to the underlying journal entry General Ledger Account Cash Accounts receivable No Date Debit Credit Balance No Date Debit Credit Balance 51,000 Mar 01 27,200 Mar 01 S. Knight, Capital Inventory Date Debit Credit Balance Date Debit Credit Balance Mar 01 16,000 94,200 Mar 01 Trial Balance> K General Journal PurchasesSales Journal Journal Cash Distb Journal General Ledger Cash Rec Journal Trial Balance Requirement General Journal The trial balance is a listing of all account balances from the General Ledger as of a specific date. Click on any individual account balance to return to the General Ledger. The trial balance is only as accurate as the underlying journal entries. If the total debits do not equal the total credits, you must have a journal entry that is out of balance. If you have an abnormal ending balance (indicated with brackets in the general ledger), you should review the journal entries that affected that account to ensure that the journal entries are correct Show less Knight Company Trial Balance March 31, 2017 Account Title Debit Credit Cash Accounts receivable Inventory S. Knight, Capital 27,200 51,000 16,000 94.200 Total 94,200 S 94,200 General Ledger Cash Rec JournalStep by Step Solution
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