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Skate 'n' Surf Statement of profit or loss for the period 1 June to 30 June 20XX Revenue Sales revenue Sales revenue 26,820 Less: Sales
Skate 'n' Surf Statement of profit or loss for the period 1 June to 30 June 20XX | ||||
Revenue | ||||
Sales revenue | ||||
Sales revenue | 26,820 | |||
Less: Sales returns and allowances | 320 | |||
Net sales revenue | 26,500 | |||
Less: Cost of sales | 14,980 | |||
Gross profit | 11,520 | |||
Other revenue: | ||||
Discount received | 2,300 | |||
13,820 | ||||
Expenses | ||||
Advertising expense | 1,170 | |||
Depreciation expense | 450 | |||
Discount allowed | 280 | |||
Insurance expense | 320 | |||
Interest expense | 160 | |||
Postage and stationery expense | 150 | |||
Superannuation exepnse | 95 | |||
Wages expense | 1,000 | |||
Total expenses | 3,625 | |||
Net profit/(loss) | $10,195 |
Your answer has been saved and sent for grading. See Gradebook for score details. Journalise end-of-year closing entries. (Note: Enter debit entries first, followed by credit entries in the general journal. Credit account titles are a of accounts given in the statement of profit or loss.) Date Details Post ref. Debit Credit 20XX June 30 Sales revenue 26820 Discount received 2300 29120 307 Profit or loss summary (To close revenue accounts) Profit or loss summary Sales returns and allow Cost of sales 18925 320 14980 1170 Advertising expense Depreciation expense Discount allowed 450 280 Insurance expense 320 Interest expense 160 150 95 1000 Postage and stationery Superannuation expens Wages expense (To close expense accounts) Profit or loss summary Capital (To close profit to capital account) 30V 10195 10195 No. 100 Debit Credit Cash at bank Date Details June 1 Capital 8 Sales revenue 13 Accounts receivable 27 Accounts receivable Date 32,000 June 550 5,320 4,160 Details 1 Shop equipment (cost) 2 Prepaid insurance 2 Advertising expense 11 Postage and stationery 14 Accounts payable 2,500 3,840 1,170 150 20,700 23 Accounts payable 4,100 30 Bank loan 1,000 30 Wages expense 970 $ $ July July No. 110 Debit Credit Accounts receivable Date Details June 8 Sales revenue 12 Sales revenue 17 Sales revenue 25 Sales revenue Date 5,600 June 7,990 4,480 8,200 Details 13 Cash at bank 13 Discount allowed 24 Sales returns and allowances 27 Cash at bank 5,320 280 320 4,160 July July No. 120 Inventory Date June Debit Credit Details 5 Accounts payable 7 Accounts payable 24 Cost of sales 24 Accounts payable Date 24,000 June 23,000 270 8,900 Details 8 Cost of sales 8 Cost of sales 12 Accounts payable 12 Cost of sales 17 Cost of sales 270 2,300 180 4,900 3,780 25 Cost of sales 4,000 V $ $ July July No. 130 Prepaid insurance Date Details June 2 Cash at bank Debit Credit Date 3,840 June Details 30 Insurance expense 320 $L July July V No. 171 Debit Date Details Credit Shop equipment (cost) Date Details June 1 Bank loan 1 Cash at bank 33,500 2,500 $36,000 No. 172 Accumulated depreciation - shop equipment Date Details Debit Date Details Credit June 30 Depreciation expense 450 No. 200 Debit Credit Accounts payable Date Details June 12 Inventory 14 Cash at bank 14 Discount received 23 Cash at bank Date 180 June 20,700 2,300 Details 5 Inventory 7 Inventory 24 Inventory 24,000 23,000 8,900 4,100 V July July No. 210 PAYG withholding payable Date Details Debit Credit Date June Details 30 Wages expense 30 No. 220 Superannuation payable Date Details Debit Credit Date June Details 30 Superannuation expense 95 No. 230 Bank loan Date June Debit Credit Details 30 Cash at bank Date 1,000 June Details 1 Shop equipment (cost) 30 Interest expense 33,500 160 July July No. 300 Capital Date Details Debit Date Details Credit June June 1 Cash at bank 32,000 V Drawings No. 310 Date Details Debit Date Details Credit No. 320 Profit or loss summary Date Details Debit Date Details Credit June June V No. 400 Sales revenue Date June Details Debit Date Details Credit June 8 Cash at bank 550 8 Accounts receivable 5,600 SO 7,990 12 Accounts receivable 17 Accounts receivable 4,480 25 Accounts receivable 8,200 s $ No. 410 Sales returns and allowances Date Details June 24 Accounts receivable Debit Date Details Credit 320 June No. 420 Discount received Date Details Debit Date Details Credit June June 14 Accounts payable 2,300 No. 500 Debit Credit Cost of sales Date Details June 8 8 Inventory 8 Inventory Date 270 June Details 24 Inventory 270 2,300 12 Inventory 4,900 17 Inventory 3,780 25 Inventory 4,000 $ No. 600 Advertising expense Date Details June 2 Cash at bank Debit Date Details Credit 1,170 June No. 610 Debit Date Details Depreciation expense Date Details June 30 Accumulated depreciation - shop equipment Credit 450 June No. 620 Discount allowed Date Details Debit Date Details Credit June 13 Accounts receivable 280 June No. 630 Electricity expense Date Details Debit Date Details Credit No. 640 Insurance expense Date Details June 30 Prepaid insurance Debit Date Details Credit 320 June No. 650 Interest expense Date Details Debit Date Details Credit June 30 Bank loan 160 June No. 660 Postage and stationery expense Date Details 11 Cash at bank Debit Date Details Credit June 150 June No. 670 Superannuation expense Date Details Debit Date Details Credit June 30 Superannuation payable 95 June No. 680 Telephone expense Date Details Debit Date Details Credit No. 690 Wages expense Date Details June 30 Cash at bank Debit Date Details Credit 970 June 30 PAYG withholding payable 30
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