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10-1
6 10-1
10-1
SALES TAX
PAYABLE CR.
10-1
45.00 1 10-1
15.90 2 10-1
3 10-1
208.80 4 10-1
269.70 5 10-2
(2120) 6 10-2
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Johnston Supplies
CASH RECEIPTS JOURNAL
For the month ended 30/06/2017
DOC. POST. GENERAL
ACCOUNT TITLE
DATE NO. REF. DEBIT CREDIT
2017
1 Jun 3 Kelly Diller R408 110
2 5 TS23
6 30 Totals
7
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10-3
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CUSTOMER Kelly Diller CUSTOMER NO.
POST.
ITEM DEBIT CREDIT
DATE REF.
2017
1 Jun 2 Balance
2 2 S6 795.00
3 3 CR9 185.00
4
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110 10-1
DEBIT
BALANCE
10-1
185.00 1 10-1
980.00 2 10-2
795.00 3 10-4
4
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CUSTOMER FJT Plumbing CUSTOMER NO.
POST.
ITEM DEBIT CREDIT
DATE REF.
2017
1 June 1 Balance
2 9 S6 280.90
3 16 S6 3,688.80
4 7 CR6 2,989.20
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120
DEBIT
BALANCE
2,989.20 1
3,270.10 2 10-2
6,958.90 3 10-2
3,969.70 4 10-4
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CUSTOMER Roberts College CUSTOMER NO.
POST.
ITEM DEBIT CREDIT
DATE REF.
2017
1 June 1 Balance
2 14 CR6 692.00
3 30 CR6 381.60
4
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130
DEBIT
BALANCE
381.60 1
1,073.60 2 10-2
692.00 3 10-4
4
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ACCOUNT Cash ACCOUNT NO. 1110
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 June 1 Balance 8,617.01 1
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ACCOUNT Accounts Receivable ACCOUNT NO. 1130
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 June 1 Balance 3,555.80 1
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ACCOUNT Sales Tax Payable ACCOUNT NO. 2120
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 June 1 Balance 648.18 1
2 30 R6 269.70 917.88 2 10-2
3 30 CR6 384.50 1,302.38 3 10-4
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ACCOUNT Sales ACCOUNT NO. 4110
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 June 1 Balance 94,818.25 1
2 30 R6 5,187.00 100,005.25 2 10-2
3 30 CR6 6,408.30 106,413.55 3 10-4
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ACCOUNT Sales Discount ACCOUNT NO. 4120
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 June 1 Balance 612.18 1
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