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ppreparing entries for : 1 Record the remittance of payroll liabilities to the Receiver General for Canada. 2 Record the payroll register for the pay

image text in transcribedppreparing entries for :

  • 1

    Record the remittance of payroll liabilities to the Receiver General for Canada.

  • 2

    Record the payroll register for the pay period ending Mar 31.

  • 3

    Record employee benefits.

  • 4

    Record the employer's payroll expenses.

  • 5

    Record the remittance of payroll liabilities to the Receiver General for Canada.

  • 6

    Record the remittance of employee medical insurance premium to All Canadian Insurance Company.

A company has three employees, each of whom has been employed since January 1, earns $3,300 per month, and is paid on the last day of each month. On March 1, the following accounts and balances appeared in its ledger. a. Employees' Income Taxes Payable, $1,277.54 (liability for February). b. El Payable, $394.42 (liability for February). C. CPP Payable, $893.48 liability for February). d. Employees' Medical Insurance Payable, $1,840.00 (liability for January and February). During March and April, the company completed the following related to payroll. Mar. 17 Issued cheque #320 payable to the Receiver General for Canada. The cheque was in payment of the February employee income taxes, El, and CPP amounts due. Mar. 31 Prepared a general journal entry to record the March payroll register, which had the following column totals: EI $164.34 Income Taxes $1,277.54 CPP $446.74 Medical Insurance $460.00 Total Deductions $2,348.62 Net Pay $7,551.38 Office Salaries Shop Salaries $3,300.00 $6,600.00 Mar. 31 Recorded the employer's $460.00 liability for its 50% contribution to the medical insurance plan of employees and 6% vacation pay accrued to the employees. Mar. 31 Prepared a general journal entry to record the employer's costs resulting from the March payroll. Apr. 17 Issued cheque #515 payable to the Receiver General for Canada in payment of the March mandatory deductions. Apr. 17 Issued cheque #516 payable to All Canadian Insurance Company in payment of the employee medical insurance premiums for the first quarter. Required: Prepare the entries to record the transactions. (Round your answers to 2 decimal places. Do not round intermediate calculations.)

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