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Michelle French owns and operates Books and More, a retail book store. Selected account balances on June 1 are as follows: General Ledger Cash $32,200.00
Michelle French owns and operates Books and More, a retail book store. Selected account balances on June 1 are as follows:
General Ledger | |
Cash | $32,200.00 |
Accounts Payable | 2,000.00 |
M. French, Drawing | 18,000.00 |
Purchases | 67,021.66 |
Purchases Returns and Allowances | 2,315.23 |
Purchases Discounts | 905.00 |
Freight-In | 522.60 |
Rent Expense | 3,125.00 |
Utilities Expense | 1,522.87 |
Accounts Payable Ledger | |
Northeastern Publishing Co. | $2,000.00 |
The following purchases and cash payments transactions took place during the month of June:
June Transactions: | ||
June | 1 | Purchased books on account from Irving Publishing Company, $2,100. Invoice No. 101, terms 2/10, n/30, FOB destination. |
2 | Issued Check No. 300 to Northeastern Publishing Co. for goods purchased on May 23, terms 2/10, n/30, $1,960 (the $2,000 invoice amount less the 2% discount). | |
3 | Purchased books on account from Broadway Publishing, Inc., $2,880. Invoice No. 711, less a 20% trade discount, and invoice terms of 3/10, n/30, FOB shipping point. | |
3 | Issued Check No. 301 to Mayday Shipping for delivery from Broadway Publishing, Inc., $250. | |
4 | Issued Check No. 302 for June rent, $625. | |
8 | Purchased books on account from Northeastern Publishing Co., $5,825. Invoice No. 268, terms 2/eom, n/60, FOB destination. | |
10 | Received a credit memo from Irving Publishing Company, $550. Books had been returned because the covers were on upside down. | |
13 | Issued Check No. 304 to Broadway Publishing, Inc., for the purchase made on June 3. (Check No. 303 was voided because an error was made in preparing it.) | |
28 | Made the following purchases: |
Invoice No. | Company | Amount | Terms |
579 | Broadway Publishing, Inc. | $2,350 | 2/10, n/30, FOB destination |
406 | Northeastern Publishing Co. | 4,200 | 2/eom, n/60, FOB destination |
964 | Riley Publishing Co. | 3,450 | 3/10, n/30, FOB destination |
June Transactions (continued): | ||
June | 30 | Issued Check No. 305 to Taylor County Utility Co. for June utilities, $325. |
30 | French withdrew cash for personal use, $4,500. Issued check no. 306. | |
30 | Issued Check No. 307 to Irving Publishing Company for purchase made on June 1 less returns made on June 10. | |
30 | Issued Check No. 308 to Northeastern Publishing Co. for purchase made on June 8. | |
30 | Issued Check No. 309 for books purchased at an auction, $1,328. |
Required:
1. | Enter the transactions in a general journal (start with page 16). |
2. | Post from the journal to the general ledger accounts and the accounts payable ledger. Use account numbers as shown in the Chart of Accounts. |
3. | Prepare a schedule of accounts payable. |
4. | If merchandise inventory was $35,523 on January 1 and $42,100 as of June 30, prepare the cost of goods sold section of the income statement for the six months ended June 30, 20--. |
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