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Problem 9 . 2 A ( Static ) Journalizing cash payments, recording petty cash, and posting to the general ledger. LO 9 - 4 ,

Problem 9.2A (Static) Journalizing cash payments, recording petty cash, and posting to the general ledger. LO 9-4,9-5,9-6
The cash payments of Royal Family Jewels, a retail business, for June and the general ledger accounts used to record these transactions appear below.
GENERAL LEDGER ACCOUNTS
101 Cash $ 50,740 Debit
105 Petty cash fund
129 Supplies 1,160 Debit
201 Notes payable 4,800 Credit
205 Accounts payable 19,880 Credit
231 Sales tax payable 5,400 Credit
302 Yusef Saleem, Drawing
451 Sales returns and allowances
504 Purchases discounts
611 Delivery expense
620 Rent expense
623 Salaries expense
626 Telephone expense
634 Interest expense
635 Miscellaneous expense
DATE TRANSACTIONS (for year 20X1)
June 1 Issued Check 4121 for $3,700 to pay the monthly rent.
June 2 Issued Check 4122 for $5,400 to remit the state sales tax.
June 3 Issued Check 4123 for $1,880 to Keeping Time Watch Company, a creditor, in payment of Invoice 6808, dated May 5.
June 4 Issued Check 4124 for $250 to establish a petty cash fund. (After journalizing this transaction, be sure to enter it on the first line of the petty cash analysis sheet.)
June 5 Paid $40 from the petty cash fund for office supplies, Petty Cash Voucher 1.
June 7 Issued Check 4125 for $4,992 to Belmonte Corporation in payment of a $4,800 promissory note and interest of $192.
June 8 Paid $30 from the petty cash fund for postage stamps, Petty Cash Voucher 2.
June 10 Issued Check 4126 for $504 to a customer as a cash refund for a defective watch that was returned; the original sale was made for cash and was not subject to sales tax.
June 12 Issued Check 4127 for $486 to pay the telephone bill.
June 14 Issued Check 4128 for $4,704 to Worldwide Jewelry Company, a creditor, in payment of Invoice 8629, dated May 6($4,800), less a cash discount ($96).
June 15 Paid $19 from the petty cash fund for delivery service, Petty Cash Voucher 3.
June 17 Issued Check 4129 for $940 to purchase store supplies.
June 20 Issued Check 4130 for $3,920 to Nelsons Jewelry and Accessories, a creditor, in payment of Invoice 1513, dated June 12($4,000), less a cash discount ($80).
June 22 Paid $34 from the petty cash fund for a personal withdrawal by Yusuf Saleem, the owner, Petty Cash Voucher 4.
June 25 Paid $40 from the petty cash fund to have the store windows washed and repaired, Petty Cash Voucher 5.
June 27 Issued Check 4131 for $3,550 to Modern Creations, a creditor, in payment of Invoice 667, dated May 30.
June 30 Paid $34 from the petty cash fund for delivery service, Petty Cash Voucher 6.
June 30 Issued Check 4132 for $7,425 to pay the monthly salaries.
June 30 Issued Check 4133 for $7,200 to Yusuf Saleem, the owner, as a withdrawal for personal use.
June 30 Issued Check 4134 for $197 to replenish the petty cash fund. (Foot the columns of the petty cash analysis sheet in order to determine the accounts that should be debited and the amounts involved.)
Required:
Open the general ledger accounts and enter the balances as of June 1.
Record all payments by check in a cash payments journal.
Record all payments from the petty cash fund on a petty cash analysis sheet.
Post the individual entries from the Other Accounts Debit section of the cash payments journal to the proper general ledger accounts.
Total and prove the petty cash analysis sheet as of June 30. Record the replenishment of the fund and the final balance on the sheet.
Total and prove the cash payments journal as of June 30.
Post the column totals from the cash payments journal to the proper general ledger accounts.

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