Question
Revenue Journal The following revenue transactions occurred during November: Nov. 3. Issued Invoice No. 80 to Lemon Co. for services provided on account, $398. 12.
Revenue Journal
The following revenue transactions occurred during November:
Nov. | 3. | Issued Invoice No. 80 to Lemon Co. for services provided on account, $398. | |
12. | Issued Invoice No. 81 to Triple A Inc. for services provided on account, $254. | ||
28. | Issued Invoice No. 82 to Murphy Inc. for services provided on account, $623. |
Record these three transactions in the following revenue journal.
REVENUE JOURNAL | ||||
DATE | Invoice No. | Account Debited | Post. Ref. | Accounts Rec. Dr. Fees Earned Cr. |
Nov. 3 | ||||
Nov. 12 | ||||
Nov. 28 |
Accounts Receivable Subsidiary Ledger
The debits and credits from two transactions are presented in the following customer account:
NAME | Pop-Up Dessert Snacks Inc. | ||||
ADDRESS | 46 W. Main St. | ||||
Date | Item | Post. Ref. | Debit | Credit | Balance |
Aug. 1 | Balance | 574 | |||
Aug. 10 | Invoice No. 30 | CR37 | 107 | 467 | |
Aug. 17 | Invoice No. 33 | R16 | 133 | 600 |
Select the choice that describes each transaction and the source of each posting.
Date | Action | Invoice No. | Posted From | Journal page | |
Aug. 10 | |||||
Aug. 17 |
Purchases Journal
The following purchase transactions occurred during August for Rehoboth, Inc.:
Aug. 4 | Purchased cleaning supplies for $79, on account from Innovation Supplies. | |
19 | Purchased office equipment for $5,660, on account from Office Warehouse. | |
23 | Purchased cleaning supplies for $224, on account from Rubble Supplies. |
Record these transactions (in chronological order) in the following purchases journal. If an amount box does not require an entry, leave it blank. If no entry is required, select "No entry required".
PURCHASES JOURNAL | |||||||
DATE | Account Credited | Post. Ref. | Accounts Payable Cr. | Cleaning Supplies Dr. | Other Accounts Dr. | Post. Ref. | Amount |
Aug. 4 | |||||||
Aug. 19 | |||||||
Aug. 23 |
Accounts Payable Subsidiary Ledger
The debits and credits from two transactions are presented in the following creditor's (supplier's) account:
NAME | Lassiter Services Inc. | ||||
ADDRESS | 2199 Commerce Place | ||||
Date | Item | Post. Ref. | Debit | Credit | Balance |
Nov. 1 | Balance | 497 | |||
Nov. 11 | Invoice No. 217 | CP98 | 217 | 280 | |
Nov. 22 | Invoice No. 207 | P33 | 92 | 372 |
Select the choice that describes each transaction and the source of each posting.
Date | Action | Invoice No. | Posted From | Journal Page | |
Nov. 11 | |||||
Nov. 22 |
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