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Requirements 1 and 2. Enter the transactions in a sales journal (page 2), a cash receipts journal (page 5, omit Sales Discounts Forfeited column), a
Requirements 1 and 2. Enter the transactions in a sales journal (page 2), a cash receipts journal (page 5, omit Sales Discounts Forfeited column), a purchases journal (page 7), a cash payments journal (page 6), and a general journal (page 4), as appropriate. Total each column of the special journals. Show that total debits equal total credits in each special journal. For purposes of this problem, we will ignore posting references. Begin with page 2 of the sales journal. Enter the transactions and total the journal. (Round all amounts to the nearest whole dollar. If a box is not used in the table, leave the box empty; do not select a label or enter a zero.) Sales Journal Page 2 Date Invoice No. Customer Account Debited Post. Accounts Receivable DR Ref. Cost of Goods Sold DR Sales Revenue CR Merchandise Inventory CR 2025 Jan. 10 21 30 480 260 2,850 1,350 4,750 2,332 Jan. 31 Totals Show how total debits equal total credits. Sales journal Total debits 3942 Total credits 8080 8,080 3,942 Better Boat Company is a service based company that rents canoes for use on local lakes and rivers. At the beginning of the new year, Better Boat Company decided to carry and sell T-shirts with its logo printed on them. Better Boat Company uses the perpetual inventory system to account for the inventory. During January 2025, Better Boat Company completed the following merchandising transactions: (Click the icon to view the transactions.) Read the requirements. Jan. 1 Jan. 2 Jan. 3 Jan. 7 Purchased 20 T-shirts at $10 each and paid cash. Sold 6 T-shirts for $25 each, total cost of $60. Received cash. Purchased 80 T-shirts on account at $13 each. Terms 2/10, n/30. Paid the supplier for the T-shirts purchased on January 3, less discount. Jan. 8 Realized 14 T-shirts from the January 1 order were printed wrong and returned them for a cash refund. Jan. 10 Sold 20 T-shirts on account for $25 each, total cost of $260. Terms 4/15, n/45. Jan. 12 Received payment for the T-shirts sold on account on January 10, less discount. Jan. 14 Purchased 130 T-shirts on account at $10 each. Terms 2/15, n/30. Jan. 18 Better Boat Company called the supplier from the January 14 purchase and told them that some of the T-shirts were the wrong color. The supplier offered a $20 purchase allowance. Jan. 20 Paid the supplier for the T-shirts purchased on January 14, less the allowance and discount. Jan. 21 Sold 120 T-shirts on account for $25 each, total cost of $1,350. Terms 5/20, n/30. Jan. 23 Received a payment on account for the T-shirts sold on January 21, less discount. Jan. 25 Purchased 360 T-shirts on account at $13 each. Terms 2/10, n/30, FOB shipping point. Jan. 27 Paid freight associated with the January 25 purchase, $36. Jan. 8 Supplier purchas January 3, less discount. Realized 14 T-shirts from the January 1 order were printed wrong and returned them for a cash refund. Jan. 10 Sold 20 T-shirts on account for $25 each, total cost of $260. Terms 4/15, n/45. Jan. 12 Received payment for the T-shirts sold on account on January 10, less discount. Jan. 14 Purchased 130 T-shirts on account at $10 each. Terms 2/15, n/30. Jan. 18 Better Boat Company called the supplier from the January 14 purchase and told them that some of the T-shirts were the wrong color. The supplier offered a $20 purchase allowance. Jan. 20 Paid the supplier for the T-shirts purchased on January 14, less the allowance and discount. Jan. 21 Sold 120 T-shirts on account for $25 each, total cost of $1,350. Terms 5/20, n/30. Jan. 23 Received a payment on account for the T-shirts sold on January 21, less discount. Jan. 25 Purchased 360 T-shirts on account at $13 each. Terms 2/10, n/30, FOB shipping point. Jan. 27 Paid freight associated with the January 25 purchase, $36. Jan. 29 Paid for the January 25 purchase, less discount. Jan. 30 Sold 200 T-shirts on account for $25 each, total cost of $2,332. Terms 5/10, n/30. Jan. 31 Received payment for the T-shirts sold on January 30, less discount. 1. Enter the transactions in a sales journal (page 2), a cash receipts journal (page 5, omit Sales Discounts Forfeited column), a purchases journal (page 7), a cash payments journal (page 6), and a general journal (page 4), as appropriate. 2. Total each column of the special journals. Show that total debits equal total credits in each special journal
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