Answered step by step
Verified Expert Solution
Link Copied!

Question

1 Approved Answer

On 1 June 2017, Aaron Draper began trading as a landscape material supplier. The transactions for the month of June 2017 were as follows (ignore

On 1 June 2017, Aaron Draper began trading as a landscape material supplier. The transactions for the month of June 2017 were as follows (ignore GST):

June

1

1

2

3

4

5

6

8

9

10

11

12

14

16

17

18

19

21

22

23

24

26

30

Draper transferred $120000 from his personal savings to his business bank account.

Purchased shop fittings for cash: paid by cheque no. 231, $80000.

Paid March rent by cheque no. 232, $3000.

Purchased goods for resale on credit from Ailmore Ltd, $10000.

Banked cash sales totalling $3440.

Sold goods on credit to G. Horwood: invoice no. 543, $1520.

Purchased goods for resale from Groundcover Ltd: paid by interbank transfer, $3400.

Banked cash sales totalling $1640.

Purchased goods for resale on credit from Bachleda Ltd, $4800.

Sold goods on credit to M. Kruger: invoice no. 544, $1960.

Purchased office stationery from Biggs Ltd: paid by bank transfer, $480.

Banked cheque for return of defective goods that had been purchased for cash, $380.

Banked cash sales totalling $3600.

Issued cheque no. 233 for miscellaneous expenses, $720.

Refunded a customer for a cash sale returned: paid refund by cheque no. 234 for $680.

Purchased goods for resale on credit from Cirocco Ltd, $12000.

Paid freight on goods purchased to Trucks Ltd: paid by bank transfer, $260.

Sold goods on credit to C. Charles: invoice no. 545, $2120.

Banked cash sales totalling $3180.

Internet bank transfer to Ailmore Ltd in full settlement of its account, less a cash discount of 3%.

Banked cheque received from G. Horwood in full settlement of his account, less a 2% cash discount.

Interbank transfer to Aaron Drapers personal account for drawings, $2400.

Banked cash sales totalling $4800.

Paid June salaries by interbank transfers to of B. Thwaites, $2240; T. Vuong, $2600.

Paid June electricity: cheque no. 235, $300.

Paid June telephone to Copus Ltd by internet transfer, $224.

Banked cash sales totalling $5600.

The following additional information is available:

1. A physical inventory count held at the close of business on 30 June 2017 revealed that the cost price of inventory on hand amounted to $12000.

2. The June salary of a part-time sales representative amounting to $800 was not paid until 2July 2017.

3. Depreciation on shop fittings for the month of June amounted to $152.

Required

A. Record the above transactions in the appropriate journals for the business of Aaron Draper.

B. Post the entries in the journals to the general ledger as well as to the debtors and creditors subsidiary ledgers.

C. Prepare the trial balance of Aaron Draper at 30 June 2017.

D. Prepare schedules of debtors and creditors at 30 June 2017, and reconcile the totals with the balances of the related control accounts in the trial balance.

E. Prepare the income statement of Aaron Draper for the month ended 30 June 2017.

F. Prepare the balance sheet of Aaron Draper at 30 June 2017.

Step by Step Solution

There are 3 Steps involved in it

Step: 1

blur-text-image

Get Instant Access to Expert-Tailored Solutions

See step-by-step solutions with expert insights and AI powered tools for academic success

Step: 2

blur-text-image_2

Step: 3

blur-text-image_3

Ace Your Homework with AI

Get the answers you need in no time with our AI-driven, step-by-step assistance

Get Started

Recommended Textbook for

Accounting Information Systems The Crossroads Of Accounting And IT

Authors: Donna Ulmer, Donna Kay, Ali Olia

1st Edition

0132132524, 9780132132527

More Books

Students also viewed these Accounting questions

Question

A greater tendency to create winwin situations.

Answered: 1 week ago