Question
Journalize the following transactions for November in the correct journal. Total each column and provide the posting reference. Journals: 1) Cash receipts journal 2) Purchase
Journalize the following transactions for November in the correct journal. Total each column and provide the posting reference.
Journals:
1) Cash receipts journal
2) Purchase Journal
3) Cash Payments Journal
Nov 1 - Marla James invested $ 12,500 in the card store.
Nov 1 - Paid this months' rent to Howard Realty, cheque No. 1001 $2,800.
Nov 1 - Purchased merchandise from Upper-Card Company on account, $ 5,600. Invoice No. 710, dated Nov 1, terms 2/10, n/30.
Nov 2 - Sold merchandise to Jas Investors on account, $ 1,900. Invoice No. 602, terms 2/10, n/30. Cost of Goods sold was $1,100.
Nov 9 - Sold merchandise to Los Cabos on account, $ 1,000. Invoice No. 603, terms 2/10, n/30. Cost of Good Sold was $550.
Nov 10 - Paid Able Cleaning Service $ 320. Cheque No. 1002.
Nov 11 - Paid UpperCard Company invoice No. 710, dated Nov 1, cheque No. 1003, taking discount.
Nov 12 - Los Cabos returned merchandise that cost $ 100 to the Widget Company. Marla issued credit memorandum No. 1 to Los Cabos for $ 100. All goods were returned to inventory, the cost of the goods returned was $26.
Nov 12 - Purchased merchandise from Kaelynn Imports on account, $ 4,600. Invoice No. 311, dated Nov 12, terms 1/15, n/60.
Nov 14 - Sold $ 1,800 worth of card merchandise for cash. Invoice No. 604. Cost of goods sold was $875.
Nov 15 - Returned merchandise to Kaelynn Imports in the amount of $ 1,300. The Widget Company issued debit memorandum No. 1 to Kaelynn Imports.
Nov 16 - Received payment from Los Cabos, invoice No. 603 (less returned merchandise), less discount.
Nov 16 - Jas Investors paid invoice No. 602, no discount.
Nov 23 - Paid Kaelynn Imports balance owed, cheque No. 1004, less returns and discounts.
Nov 28 - Received invoice $1,300 from Able Cleaning service, for cleaning the basement of the building. Invoice # 148 to be paid in 30 days.
Nov 30 - Marla made cheque No. 1005 payable to her sons school for tuition in amount of $2,000.
Chart of Accounts |
| ||||
Assets | Revenue |
| |||
101 | Cash | 400 | Sales |
| |
104 | Accounts Receivable | 401 | Sales Discounts | ||
106 | Inventory | 404 | Sales Returns and Allowances | ||
Liabilities |
|
| |||
204 | Accounts Payable | Expenses |
| ||
500 | Maintenance Expense | ||||
Owners Equity
|
| 505 | Cost of Goods Sold | ||
300 | M. James, Withdrawals | 520 | Rent Expense | ||
301 | M James, Capital |
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|
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**Use perpetual method
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