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Turner Excavation maintains a checking account and has decided to open a petty cash fund. The following petty cash fund transactions occurred during July: July

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Turner Excavation maintains a checking account and has decided to open a petty cash fund. The following petty cash fund transactions occurred during July: July 2 Established a petty cash fund by issuing Check No. 301 for $100. 5 Paid $25 from the petty cash fund for postage. Voucher No. 1. 7 Paid $30 from the petty cash fund for delivery of flowers (Miscellaneous Expense). Voucher No. 2. 8 Paid $20 from the petty cash fund to repair a tire on the company truck. Voucher No. 3. 12 Paid $22 from the petty cash fund for a newspaper advertisement. Voucher No. 4. 13 Issued Check No. 303 to replenish the petty cash fund. (Total and rule the petty cash payments record. Record the balance and the amount needed to replenish the fund in the Description column of the petty cash payments record.) 20 Paid $26 from the petty cash fund to reimburse an employee for expenses incurred to repair the company truck. Voucher No. 5. 24 Paid $12.50 from the petty cash fund for phone calls made from a phone booth. Voucher No. 6. 28 Paid $25 from the petty cash fund as a contribution to the YMCA. Voucher No. 7. 31 Issued Check No. 308 to replenish the petty cash fund. (Total and rule the petty cash payments record. Record the balance and the amount needed to replenish the fund in the Description column of the petty cash payments record.) The following additional transactions occurred during July: July 5 Issued Check No. 302 to pay office rent, $650. 15 Issued Check No. 304 for office equipment, $525. 17 Issued Check No. 305 for the purchase of supplies, $133. Issued Check No. 306 to pay attorney fees, $1,000. 18 30 Issued Check No. 307 to pay newspaper for an advertisement, $200.20. 2. Make all required general journal entries for the cash transactions. (Note: The petty cash fund was established and replenished twice during July.) General Journal Instructions How does grading work? PAGE 1 GENERAL JOURNAL Score: 139/261 DATE ACCOUNT TITLE POST. REF. DEBIT CREDIT 1 Jul. 2 Petty Cash 100.00 2 Cash 100.00 3 Jul. 5 Postage Expense 25.00 4 Petty Cash 25.00 5 Jul. 7 Miscellaneous Expense 30.00 6 Petty Cash 30.00 7 Jul. 8 Sales 20.00 8 Petty Cash 20.00 9 Jul. 12 Advertising Expense 22.00 Bank Reconciliation July 31, 20- 1 Bank statement balance, July 31 2 (Label) 3 4 5 (Label) 6 (Label) 7 8 9 10 Adjusted bank balance 11 12 Book balance, July 31 13 (Label) 14 15 16 Adjusted book balance

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