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Record the following transactions in the appropriate journals ad subsidiary ledgers. Jan 1 - Issued check number 3010 to pay the January rent in the

Record the following transactions in the appropriate journals ad subsidiary ledgers. Jan 1 - Issued check number 3010 to pay the January rent in the amount of $1,450 Jan 6 - Purchased $5,600 of merchandise for resale from Costa Products, invoice 67698 dated Jan. 5, FOB shipping point, terms 2/10, n30 Jan 9 - Sold merchandise to Bruce Supply, a wholesale customer, on invoice 20001, terms 2/15, n/30, for $3,000 Jan 15 - Paid invoice #67698 for material purchased from Costa Products on Jan. 6 in full (don't forget to discount for the prompt payment) Jan 17 - Purchased office supplies from Doyle Office Supply on account, invoice #65 for $125, terms n/30 Jan 19 - Purchased $9,000 of merchandise for resale from Costa Products, invoice 67754 dated Jan. 22, FOB destination, terms 2/15, n/30. Jan 20 - Issued credit memo to Bruce Supply, for material returned, credit memo #cm750 in the amount of $350 Jan 22 - Received check number 6995 from Bruce Supply in payment dated Jan. 20 for $2,597 to pay invoice #20001 Jan 31 - Recorded cash sales for the month in the amount of $1,700 Record in Sales Journal, Purchase Journal, Cash Receipts Journal, Cash Payments Journal, or General Journal. Record in Accounts Receivable Ledger: Bruce Supply, L. Paul, Accounts Payable Ledger: Costa Products, Doyle Office Supply

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