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The Nova Scotia Bookkeepers Supply Company , which uses the perpetual inventory system and makes all credit sales on term of 2/10, n/30 completed the

The Nova Scotia Bookkeepers Supply Company , which uses the perpetual inventory system and makes all credit sales on term of 2/10, n/30 completed the following transactions during July. The business records all sales returns and all purchase returns in the general ledger. Use the following abbreviations to indicate the journal in which you would record each of the July transactions. key each transaction by date, also indicate whether the transaction would be recorded in the accounts receivable subsidiary ledger or the accounts payable subsidiary ledger.

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Horngren X + e 243633/cfi/6/298/4/2/24/4/8/2/4/2/2/2/2/2@0:21.0 Jul. 2 Issued invoice no. 913 for sale on account to White Harbour Restaurant, $12,300. The cost of this inventory was $5,400. 3 Purchased inventory on credit terms of 3/10, n/60 from The Country Store, S7,401. The invoice was dated July 3. 5 Sold inventory for cash, $3,231 (cost, $1,440). 5 Issued cheque no. 532 to purchase beekeeping equipment for cash, S6,555. 8 Collected interest revenue of $3,325. 9 Issued invoice no. 914 for sale on account to Bell Ltd., S16,650 (cost. S6.930). 10 Purchased inventory for cash. $3,429, issuing cheque no. 533. 12 Received cash from White Harbour Restaurant in full settlement of its account receivable from the sale on July 2. O Ai e Am 0 ENG 3:05 PM 2020-06-04 Home End Delete Backspace 9 7 8 . Enter 4 5 Af: Horngren x + 5243633/cf/6/298/4/2/24/4/8/2/4/2/2/28/2@0:38.2 G A: receivable from July 9. 20 Purchased inventory on credit terms of net 30 from Burgess Distributing Ltd., $6,141. The invoice was dated July 20. 22 Purchased furniture on credit terms of 3/10, n/60 from The Country Store, $1,935. The invoice was dated July 22. 22 Issued cheque no. 535 to pay for insurance coverage, debiting Prepaid Insurance for $3,000. 24 Sold supplies to an employee for cash of $162, which was the cost of the supplies. 25 Issued cheque no. 536 to pay utilities, S3,359 28 Purchased inventory on credit terms of 2/10, n/30 from Manley Inc., S4.025. The invoice was dated July 28. 29 Returned damaged inventory to Manley Inc., issuing a debit memo for $2.025. o BH W ol X de 400 ENG 3:06 PM 2020-06-04 shelf: Horngren x + 135243633/cf1/6/298!/4/2/24/4/8/2/4/2/2/18/2@0:12.4 8 ... 13 Issued cheque no. 534 to pay The Country Store the net amount owed from July 3. 13 Purchased supplies on account from Manley Inc., $4,323. Terms were net end of month. The invoice was dated July 12. 15 Sold inventory on account to O. Brown, issuing invoice no. 915 for $1,995 (cost, $720). 17 Issued credit memo to O. Brown for $1,995 for merchandise sent in error and returned by Brown. Also accounted for receipt of the inventory. 18 Issued invoice no. 916 for credit sale to White Harbour Restaurant, $1,071 (cost, S381). 19 Received $16,317 from Bell Ltd. in full settlement of its account receivable from July 9. 20 Purchased inventory on credit terms of net 30 from Burgess Distributing Ltd., S6,141. The invoice was dated July 20. O iti e w g CO ENG 3:05 PM 2020-06-04 Home Deletes Backspace 8 U 8 9 Enter 4 5 Horngren x G 5243633/cf/6/298!/4/2/24/4/8/2/4/2/2/44/2@0:88.7 30 Issued cheque no. 537 to pay Manley Inc. $1,323. 31 Received cash in full on account from White Harbour Restaurant. 31 Issued cheque no. 538 to pay monthly salaries of $7,041. Required Use the following abbreviations to indicate the journal in which you would record each of the July transactions. Key each transaction by date. Also indicate whether the transaction would be recorded in the accounts receivable subsidiary ledger or the accounts payable subsidiary ledger. General journal P = Purchases journal S = Sales journal CP Cash payments journal CR Cash receipts journal 00 ENG 3:07 PM 2020-06-04 Horngren X + e 243633/cfi/6/298/4/2/24/4/8/2/4/2/2/2/2/2@0:21.0 Jul. 2 Issued invoice no. 913 for sale on account to White Harbour Restaurant, $12,300. The cost of this inventory was $5,400. 3 Purchased inventory on credit terms of 3/10, n/60 from The Country Store, S7,401. The invoice was dated July 3. 5 Sold inventory for cash, $3,231 (cost, $1,440). 5 Issued cheque no. 532 to purchase beekeeping equipment for cash, S6,555. 8 Collected interest revenue of $3,325. 9 Issued invoice no. 914 for sale on account to Bell Ltd., S16,650 (cost. S6.930). 10 Purchased inventory for cash. $3,429, issuing cheque no. 533. 12 Received cash from White Harbour Restaurant in full settlement of its account receivable from the sale on July 2. O Ai e Am 0 ENG 3:05 PM 2020-06-04 Home End Delete Backspace 9 7 8 . Enter 4 5 Af: Horngren x + 5243633/cf/6/298/4/2/24/4/8/2/4/2/2/28/2@0:38.2 G A: receivable from July 9. 20 Purchased inventory on credit terms of net 30 from Burgess Distributing Ltd., $6,141. The invoice was dated July 20. 22 Purchased furniture on credit terms of 3/10, n/60 from The Country Store, $1,935. The invoice was dated July 22. 22 Issued cheque no. 535 to pay for insurance coverage, debiting Prepaid Insurance for $3,000. 24 Sold supplies to an employee for cash of $162, which was the cost of the supplies. 25 Issued cheque no. 536 to pay utilities, S3,359 28 Purchased inventory on credit terms of 2/10, n/30 from Manley Inc., S4.025. The invoice was dated July 28. 29 Returned damaged inventory to Manley Inc., issuing a debit memo for $2.025. o BH W ol X de 400 ENG 3:06 PM 2020-06-04 shelf: Horngren x + 135243633/cf1/6/298!/4/2/24/4/8/2/4/2/2/18/2@0:12.4 8 ... 13 Issued cheque no. 534 to pay The Country Store the net amount owed from July 3. 13 Purchased supplies on account from Manley Inc., $4,323. Terms were net end of month. The invoice was dated July 12. 15 Sold inventory on account to O. Brown, issuing invoice no. 915 for $1,995 (cost, $720). 17 Issued credit memo to O. Brown for $1,995 for merchandise sent in error and returned by Brown. Also accounted for receipt of the inventory. 18 Issued invoice no. 916 for credit sale to White Harbour Restaurant, $1,071 (cost, S381). 19 Received $16,317 from Bell Ltd. in full settlement of its account receivable from July 9. 20 Purchased inventory on credit terms of net 30 from Burgess Distributing Ltd., S6,141. The invoice was dated July 20. O iti e w g CO ENG 3:05 PM 2020-06-04 Home Deletes Backspace 8 U 8 9 Enter 4 5 Horngren x G 5243633/cf/6/298!/4/2/24/4/8/2/4/2/2/44/2@0:88.7 30 Issued cheque no. 537 to pay Manley Inc. $1,323. 31 Received cash in full on account from White Harbour Restaurant. 31 Issued cheque no. 538 to pay monthly salaries of $7,041. Required Use the following abbreviations to indicate the journal in which you would record each of the July transactions. Key each transaction by date. Also indicate whether the transaction would be recorded in the accounts receivable subsidiary ledger or the accounts payable subsidiary ledger. General journal P = Purchases journal S = Sales journal CP Cash payments journal CR Cash receipts journal 00 ENG 3:07 PM 2020-06-04

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