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Transactions related to revenue and cash receipts completed by Aspen Architects Co. during the period June 230, are as follows: June 2. Issued Invoice No.

Transactions related to revenue and cash receipts completed by Aspen Architects Co. during the period June 230, are as follows:

June 2. Issued Invoice No. 793 to Nickle Co., $5,900.
June 5. Received cash from Mendez Co. for the balance owed on its account.
June 6. Issued Invoice No. 794 to Preston Co., $2,120.
June 13. Issued Invoice No. 795 to Shilo Co., $3,170.
Post revenue and collections to the accounts receivable subsidiary ledger.
June 15. Received cash from Preston Co. for the balance owed on June 1.
June 16. Issued Invoice No. 796 to Preston Co., $6,610. Post revenue and collections to the accounts receivable subsidiary ledger.
June 19. Received cash from Nickle Co. for the balance due on invoice of June 2.
June 20. Received cash from Preston Co. for invoice of June 6.
June 22. Issued Invoice No. 797 to Mendez Co., $8,710.
June 25. Received $2,410 note receivable in partial settlement of the balance due on the Shilo Co. account.
June 30. Recorded cash fees earned, $14,860. Post revenue and collections to the accounts receivable subsidiary ledger.

Required:

1. Insert the following balances in the general ledger as of June 1:

11 Cash $13,230
12 Accounts Receivable 16,110
14 Notes Receivable 7,010
41 Fees Earned -

After completing the recording of the transactions in the journals in part 3, total each of the columns of the special journals, and post the individual entries and totals to the general ledger. Insert account balances after the last posting. When posting to the general ledger, post in chronological order. However, if there is more than one entry on the same date, be sure to post transactions from the revenue journal before posting transactions from the cash receipts journal.

If an amount box does not require an entry, leave it blank.

image text in transcribed

image text in transcribed

GENERAL LEDGER Post. Balance Balance Date Item Debit Credit Ref. Cr. Dr. Account: Cash# 11 13,23 50,81 x June 1 Balance CR36 37,58 x June 30 Account: Accounts Receivable# 12 une June 25 June 30 June 30 Account: Notes Receivable # 14 16,11 2,410 13,70 Balance R40 June 1 Balance 7,010 June 25 J1 Account: Fees Earned # 41 June 30 R40 June 30 14,86 CR36 ACCOUNTS RECEIVABLE SUBSIDIARY LEDGER Date Item Post. Ref Debit Credit Balance Account: Mendez Co. 9,260 9,260 x June 1 Balance June 5 June 22 Account: Nickle Co. June 2 June 19 9,260 CR36 R40 8,710 8,710 R40 5,900 5,900 5,900 CR36 Account: Preston Co. bune 1 6,850 6,850x Balance R40 2,120 CR36 R40 6,610 June 6 June 15 8,970 6,850 2,120 June 16 8,730 2,120 6,610 June 20 CR36 Account: Shilo Co. June 13 June 25 R40 3,170 3,170 31 x 2,410 760

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