Answered step by step
Verified Expert Solution
Question
1 Approved Answer
The Bike and Hike Outlet is a retail store. Transactions involving purchases and cash payments for the firm during June 20X1 are listed below, as
The Bike and Hike Outlet is a retail store. Transactions involving purchases and cash payments for the firm during June 20X1 are listed below, as are the general ledger accounts used to record these transactions. GENERAL LEDGER ACCOUNTS $ 19,000 Dr. 58,000 Dr. 4,900 Cr. 101 Cash 131 Equipment 201 Notes payable 205 Accounts payable 501 Purchases 503 Purchases ret. and allow. 504 Purchases discounts 611 Rent expense 614 Salaries expense 617 Telephone expense 15 18 DATE TRANSACTIONS June 1 Issued Check 1101 for $2,600 to pay the monthly rent. 3 Purchased merchandise for $2,800 from Perfect Fit Shoe Shop, Invoice 746, dated June 1; the terms are 2/10, n/30. 5 Purchased new store equipment for $4,700 from Middleton Company, Invoice 9067 dated June 4, net payable in 30 days. 7 Issued Check 1102 for $1,490 to Leisure Wear Clothing Company, a creditor, in payment of Invoice 3342 of May 9. 8 Issued Check 1103 for $2,646 to Perfect Fit Shoe Shop, a creditor, in payment of Invoice 746 dated June 1 ($2,700), less a cash discount ($54). 12 Purchased merchandise for $2,100 from Juandas Coat Shop, Invoice 9922, dated June 9, net due and payable in 30 days. Issued Check 1194 for $230 to pay the monthly telephone bill. Received Credit Memorandum 203 for $600 from Juandas Coat Shop for defective goods that were returned; the original purchase was made on Invoice 9922 dated June 9. 21 Purchased new store equipment for $9,700 from Warren Company; issued a three-month promissory note with interest at 12 percent. 23 Purchased merchandise for $5,600 from The Motor Speedway, Invoice 1927, dated June 20; terms of 2/10, n/30. Issued Check 1105 for $1,300 to Juandas Coat Shop, a creditor, as payment on account, Invoice 7416 dated May 28. 28 Issued Check 1106 for $5,488 to The Motor Speedway, a creditor, in payment of Invoice 1927 of June 20 ($5,600), less a cash discount ($112). 30 Purchased merchandise for $2,000 from Jogging Shoes Store, Invoice 4713, dated June 26; the terms are 1/10, n/30. 30 Issued Check 1197 for $5,000 to pay the monthly salaries of the employees. Required: 1. Open the general ledger accounts and enter the balances as of June 1, 20X1. 2. Record the transactions in a purchases journal, a cash payments journal, and a general journal. 3. Post the entries from the general journal and from the Other Accounts Debit section of the cash payments journal to the proper general ledger accounts. 4. Post the column totals from the special journals to the general ledger. 5. Show how the firm's net cost of purchases would be reported on its income statement for the month ended June 30. 25 Analyze: What total liabilities does the company have at month-end? Post the opening balances and transactions into the appropriate ledger accounts. Cash Account No: 101 Equipment Date Debit Credit Balance Date June 1, 20X1 June 1, 20X1 Account No: 131 Credit Balance Debit Notes Payable Date Debit Account No: 201 Credit Balance Accounts Payable Date Debit June 1, 20X1 Account No: 205 Credit Balance Purchases Date Account No: 501 Credit Balance Purchases Returns and Allowances Date Debit Account No: 503 Credit Balance Debit Purchases Discounts Date Debit Account No: 504 Credit Balance Rent Expense Date Debit Account No: 611 Credit Balance Account No: 614 Salaries Expense Date Debit Telephone Expense Date Debit Account No: 617 Credit Balance Credit Balance General Ledgers Purchases Journal Cash Payments General Journal Income Statement Analyze Record the transactions in a purchases journal as of June 20x1. PURCHASES JOURNAL Date Purchased From Invoice Number Invoice Date Terms Purchases DR./Accounts Payable CR. June 30, 20X1 Totals Record the transactions in a cash payments journal as of June 20X1. CASH PAYMENTS JOURNAL Accounts Payable Account Name Debit Date CK. No Description Amount Purchases Discounts Credit Cash Credit June 30, 20X1 Totals Journal entry worksheet 1 2 3 > Record the purchase of new store equipment for $4,700 from Bigtown Company, Invoice 9067 dated June 4, net payable in 30 days. Note: Enter debits before credits. General Journal Debit Credit Date June 05, 20X1 Record entry Clear entry View general journal Journal entry worksheet Record the return of defective goods, Credit Memo 203, original purchase made on Invoice 9922 on June 9. Note: Enter debits before credits. Date General Journal Debit Credit June 18, 20X1 Record entry Clear entry View general journal Journal entry worksheet Record the issuance of a 3-month, 12% note to Warren Company to purchase new store equipment. Note: Enter debits before credits. General Journal Debit Credit Date June 21, 20X1 Record entry Clear entry View general journal Show how the firm's net cost of purchases would be reported on its income statement for the month ended June 30. THE BIKE AND HIKE OUTLET Partial Income Statement Month Ended June 30, 20X1 Net purchases Assuming that all relevant information is included in this problem, what total liabilities does the company have at month-end? Total liabilities
Step by Step Solution
There are 3 Steps involved in it
Step: 1
Get Instant Access to Expert-Tailored Solutions
See step-by-step solutions with expert insights and AI powered tools for academic success
Step: 2
Step: 3
Ace Your Homework with AI
Get the answers you need in no time with our AI-driven, step-by-step assistance
Get Started