SMCH 10
SMCH 10
SMCH 10
10
Net purchases is calculated as follows: Purchases Purchases Returns and Allowances Purchases Discount. Credit. A reduction in cost ex. Purchases Discount. F.O.B. shipping point means the buyer pays the cost of shipping: F.O.B. destination means the seller is responsible for the cost of shipping. Disagree; buyer takes title when goods are received, not when shipped. Credit. The total of the accounts payable column in the special journal is not posted until the end of the month. The purchase requisition is a document that initiates the request to prepare a purchase order. The recording of the purchase might take place when the invoice is approved for recording and payment. Merchandise is for resale; equipment is an asset used to help create sales and is not for resale. To show that the buyer does not owe as much because the item is being returned. The purchases journal records buying merchandise or other items on account, while the cash payments journal records transactions involving the paying out of cash. A cash discount is for early payment; trade discounts are reductions off the purchase price.
331
SOLUTIONS TO CHAPTER 10 MINI EXERCISES 1. A. B. C. D. E. F. G. H. Purchases Purchases Returns and Allowances Purchases Discount Purchases Journal Cash Payments Journal Debit Memorandum Schedule of Accounts Payable Accounts Payable Subsidiary Ledger Cost Contra Cost Contra Cost Dr. Cr. Cr. Cr. Dr. Dr. Temp. Temp. Temp.
2.
3. 4.
5.
6.
WEB.COM SCHEDULE OF ACCOUNTS PAYABLE MAY 31, 200X Bloss Co. Rowe Co. Total Accts. Payable $ 40 60 $100
332
SOLUTIONS TO EXERCISES
10-1. Rey.com 800 PJ1 June 3 Equipment June 8 PJ1 800 120
Accounts Payable
210
510
10-2. Jul. 10 Accounts Payable, Reel Co. Purchases Returns & Allowances Issued Debit Memo #1
211/ 513
4 0 0 00 4 0 0 00
211
513
333
Date Apr.
Check No. Accounts Debited PR. A. James Advertising Expense 610 B. Foss
Cash Cr. 00 00 00 00
1 20 8 21 15 22 30
4 0 0 00 1 0 0 00 1 4 0 0 00 (X) (210)
9 8 0 1 0 0 4 0 0 2 0 00 1 4 8 0 (511) (110)
210 2,400
J. Ranch 900
Purchases Discount
511
20 4/30 CPJ2
B. Swanson 100
610
334
Cost Liab.
c c
335
PROBLEM 10A-1
SOLUTIONS TO A PROBLEMS
Amount 0 0 0 00 9 0 0 00 9 0 0 00 (X)
336
Date 200X Jun. 4 5 8 14 30 Inv. PR No. Terms 442 2/10, n/30 502 401 419 2/10, n/30
Account Date of Credited Invoice Mail.com 6/5 Norton Co. 6/6 Rolo Co. 6/9 Mail.com 6/14
Accounts Sundry Dr. Payable Purchases Cr. Account PR Dr. 7 0 0 00 7 0 0 00 4 0 0 0 00 Store Equipment 121 4 1 4 0 0 00 1 4 0 0 00 9 0 0 00 Store Supplies 115 7 0 0 0 00 2 1 0 0 00 4 (510) (210)
Explanation
Debit
NAME ADDRESS
Explanation
Debit
NAME ADDRESS
Explanation
Debit
337
Balance Date 200X Jun. 14 Explanation Post Ref. PJ3 Debit 9 0 0 00 Credit Debit 9 0 0 00 Credit
STORE EQUIPMENT
Balance Date 200X Jun. 5 Explanation Post Ref. PJ3 Debit 4 0 0 0 00 Credit Debit 4 0 0 0 00 Credit
ACCOUNTS PAYABLE
Balance Date 200X Jun. 30 Explanation Post Ref. PJ3 Debit Credit 7 0 0 0 00 Debit Credit 7 0 0 0 00
PURCHASES
Balance Date 200X Jun. 30 Explanation Post Ref. PJ3 Debit 2 1 0 0 00 Credit Debit 2 1 0 0 00 Credit
338
339
Account Date of Credited Invoice Aton Co. 5/9 Broward Co. 5/11 Midden Co. 5/13 Relar Co. 5/18 Midden Co. 5/25
Store Accounts Sundry Dr. Purchases Supplies Payable Inv. Dr. Dr. Amount Account Cr. PR No. Terms PR 400 2/10, n/60 6 0 0 00 6 0 0 00 420 2/10, n/60 1 2 0 0 00 1 2 0 0 00 510 5 0 0 00 5 0 0 00 810 5 6 0 00 Office Equip. 120 5 6 0 00 516 2/10, n/30 6 5 0 00 6 5 0 00 3 5 1 0 00 1 8 0 0 00 1 1 5 0 00 5 6 0 00
(210)
(510)
(110)
(X)
Debit
Credit
4 0 0 00
Cr. Balance 4 0 0 00 6 0 0 00 1 0 0 0 00 6 0 0 00
NAME ADDRESS
Debit
Cr. Balance 6 0 0 00 1 2 0 0 00 1 8 0 0 00
Credit
NAME ADDRESS
Debit
Credit
Cr. Balance 1 2 0 0 00 5 0 0 00 1 7 0 0 00 6 5 0 00 2 3 5 0 00
NAME ADDRESS
Debit
Credit
Cr. Balance 5 0 0 00 5 6 0 00 1 0 6 0 00
340
Balance Date 200X May 31 Explanation Post Ref. PJ10 Debit 1 1 5 0 00 Credit Debit 1 1 5 0 00 Credit
OFFICE EQUIPMENT
Balance Date 200X May 17 Explanation Post Ref. PJ10 Debit 5 6 0 00 Credit Debit 5 6 0 00 Credit
ACCOUNTS PAYABLE
Debit 4 0 0 00
Credit
Debit
3 5 1 0 00
Credit 2 7 0 0 00 2 3 0 0 00 5 8 1 0 00
Balance Date 200X Explanation May 1 Balance 31 Post Ref. PJ10 Debit 1 8 0 0 00 Credit Debit 16 0 0 0 00 17 8 0 0 00 Credit
341
Balance Date 200X May 14 Explanation Post Ref. GJ2 Debit Credit 4 0 0 00 Debit Credit 4 0 0 00
Account Titles and Description Accounts Payable, Aton Co. Purchases Returns and Allowances Issued Debit Memo #8
PR 210/ 512
Dr. 4 0 0 00
Cr. 4 0 0 00
MABELS NATURAL FOOD STORE SCHEDULE OF ACCOUNTS PAYABLE MAY 31, 200X
Aton Co. Broward Co. Midden Co. Relar Co. Total Accounts Payable
$ 1 2 1 $5
6 8 3 0 8
0 0 5 6 1
0 0 0 0 0
00 00 00 00 00
342
PROBLEM 10A-3
(1, 2)
JONES COMPUTER CENTER CASH PAYMENTS JOURNAL PAGE 5
Sundry Dr. 8 0 0 0 00
343
Account Debited Henry Co. Delivery Truck Cash Purchase Cash Purchase Xon Co. Rent Expense Utilities Expense Soy Co.
1 2
3 4 00 16 (511)
00 00 00 00 00 00 00 00 00
Explanation Balance
Post Ref.
Debit
Credit
Cr. Balance 1 2 0 0 00
NAME ADDRESS
Explanation Balance
Debit 3 0 0 00
Credit
Cr. Balance 6 0 0 00 3 0 0 00
NAME ADDRESS
Debit 4 0 0 00
Credit
Cr. Balance 8 0 0 00 4 0 0 00
NAME ADDRESS
Debit 1 4 0 0 00
Credit
Cr. Balance 1 4 0 0 00
344
Balance Date 200X Explanation May 1 Balance 31 Post Ref. CPJ5 Debit Debit 17 0 0 0 00 16 0 6 6 00 9 3 4 00 Credit Credit
DELIVERY TRUCK
Balance Date 200X May 3 Explanation Post Ref. Debit CPJ5 8 0 0 0 00 Credit Debit 8 0 0 0 00 Credit
ACCOUNTS PAYABLE
Balance Date 200X Explanation May 1 Balance 31 Post Ref. Debit CPJ5 2 1 0 0 00 Credit Debit Credit 4 0 0 0 00 1 9 0 0 00
COMPUTER PURCHASES
Balance Date 200X May 31 Explanation Post Ref. Debit CPJ5 3 7 0 0 00 Credit Debit 3 7 0 0 00 Credit
345
Balance Date 200X May 31 Explanation Post Ref. CPJ5 Debit Credit 3 4 00 Debit Credit 3 4 00
RENT EXPENSE
Balance Date 200X May 28 Explanation Post Ref. Debit CPJ5 2 0 0 0 00 Credit Debit 2 0 0 0 00 Credit
UTILITIES EXPENSE
Balance Date 200X May 29 Explanation Post Ref. CPJ5 Debit 3 0 0 00 Credit Debit 3 0 0 00 Credit
$1 2 3 4 $1 9
0 0 0 0
0 0 0 0
00 00 00 00
346
Account Credited PR
0 0 0 00 2 0 0 00 0 0 0 00
Mar.
347
1 8 10 20 26 28 31
Earl Miller Co. Earl Miller Co. Minnie Katz Sam Katz Garage Woody Smith Earl Miller Co.
4 1 4 3 4 1 18 0 2 0 0 8 4 4 0 0 0 0 0 0 0 0 0 0 0 0 0 0 00 4 00 1 00 4 00 00 4 00 1 00 15
3 0 0 0 00
(210)
(510)
(X)
Sundry
8 1 4 8 00 1 8 00 2 2 00 4 8 00 (414) 1 1 5 21
348
Account Names A. Ellen, Capital 1 3 0 0 00 Cash Sales 4 0 0 0 00 Cash Sales 4 0 0 00 Jim Rex 1 0 0 0 00 Bill Burton 9 0 0 00 Bill Burton 1 1 0 0 00 Amy Rose A.Ellen, Capital 3 4 0 0 00 5 3 0 0 00 (112) (410)
4 0 0 0 00 3 0 0 0 00 1 4 0 0 00 8 4 0 0 00 (210)
8 0 00 3 0 00
3 2 2 8 00 1 1 3 8 00 12 (514)
349
Date Check 200X No. Account Debited Mar. 1 1 Prepaid Rent 9 2 Cleaning Expense 12 3 Earl Miller Co. 13 4 Salaries Expense 23 5 Minnie Katz 25 6 Toy Purchase 30 7 Earl Miller Co. 31
00 00 00 00 00 00 00 00
Invoice No. 1 2 3 4 5 6 7
Terms 2/10, n/30 2/10, n/30 2/10, n/30 2/10, n/30 2/10, n/30 2/10, n/30 2/10, n/30
Account Debited Bill Burton Jim Rex Bill Burton Amy Rose Bill Burton Amy Rose Bonnie Flow Co.
PR
Account Titles and Description Sales Returns and Allowances Accounts Receivable, Jim Rex Issued Credit Memo #1 Accounts Payable, Minnie Katz Purchases Returns and Allowances Issued Debit Memo #1
PR 412 112
Dr. 3 0 0 00
Cr. 3 0 0 00
14
210 512
1 0 0 0 00 1 0 0 0 00
350
Explanation
Debit 1 0 0 0 00 6 0 0 00
Dr. Balance 1 0 0 0 00 1 6 0 0 00 1 0 0 0 00 6 0 0 00 9 0 0 00 1 5 0 0 00 9 0 0 00 6 0 0 00
Credit
NAME ADDRESS
Explanation
Debit 3 0 0 0 00
Credit
Dr. Balance 3 0 0 0 00
NAME ADDRESS
Explanation
Debit 7 0 0 00
Credit
Dr. Balance 7 0 0 00 3 0 0 00 4 0 0 00 4 0 0 00
351
Explanation
Debit 4 0 0 0 00 1 1 0 0 00
Dr. Balance 4 0 0 0 00 5 1 0 0 00 1 1 0 0 00 4 0 0 0 00
Credit
ACCOUNTS PAYABLE SUBSIDIARY LEDGER NAME ADDRESS MINNIE KATZ 87 GARFIELD AVE., REVERE, MA 01245
Explanation
Debit
NAME ADDRESS
Explanation
Debit
NAME ADDRESS
Explanation
Debit
352
Explanation
Debit
Bill Burton Bonnie Flow Co. Amy Rose Total Accounts Receivable
$ 3 4 $7
6 0 0 6
0 0 0 0
0 0 0 0
00 00 00 00
Sam Katz Garage Earl Miller Co. Woody Smith Total Accounts Payable
$3 1 4 $9
0 2 8 0
0 0 0 0
0 0 0 0
00 00 00 00
353
Explanation
ACCOUNTS RECEIVABLE
Balance Date 200X Mar. 10 31 31 Explanation Post Ref. Debit Credit Debit GJ1 3 0 0 00 SJ1 11 3 0 0 00 11 0 0 0 00 CRJ1 3 4 0 0 00 7 6 0 0 00 Credit 3 0 0 00
PREPAID RENT
Balance Date 200X Mar. 1 Explanation Post Ref. Debit CPJ1 3 0 0 0 00 Credit Debit 3 0 0 0 00 Credit
DELIVERY TRUCK
Balance Date 200X Mar. 20 Explanation Post Ref. PJ1 Debit 3 0 0 0 00 Credit Debit 3 0 0 0 00 Credit
354
Explanation
Balance Post Ref. Debit Credit Debit Credit GJ1 1 0 0 0 00 1 0 0 0 00 PJ1 18 4 0 0 00 17 4 0 0 00 CPJ1 8 4 0 0 00 9 0 0 0 00
A. ELLEN, CAPITAL ACCOUNT NO. 310
Balance Date 200X Mar. 1 28 Explanation Post Ref. CRJ1 CRJ1 Debit Credit 8 0 0 0 00 5 0 0 0 00 Debit Credit 8 0 0 0 00 13 0 0 0 00
TOY SALES
Balance Date 200X Mar. 31 31 Explanation Post Ref. SJ1 CRJ1 Debit Credit 11 3 0 0 00 5 3 0 0 00 Debit Credit 11 3 0 0 00 16 6 0 0 00
Balance Date 200X Mar. 10 Explanation Post Ref. GJ1 Debit 3 0 0 00 Credit Debit 3 0 0 00 Credit
SALES DISCOUNTS
Balance Date 200X Mar. 31 Explanation Post Ref. CRJ1 Debit 4 8 00 Credit Debit 4 8 00 Credit
355
Balance Date 200X Mar. 25 31 Explanation Post Ref. Debit CPJ1 6 0 0 00 PJ1 15 4 0 0 00 Credit Debit 6 0 0 00 16 0 0 0 00 Credit
Balance Date 200X Mar. 14 Explanation Post Ref. GJ1 Debit Credit 1 0 0 0 00 Debit Credit 1 0 0 0 00
PURCHASES DISCOUNT
Balance Date 200X Mar. 31 Explanation Post Ref. CPJ1 Debit Credit 1 3 8 00 Debit Credit 1 3 8 00
SALARIES EXPENSE
Balance Date 200X Mar. 13 Explanation Post Ref. CPJ1 Debit 6 0 0 00 Credit Debit 6 0 0 00 Credit
CLEANING EXPENSE
Balance Date 200X Mar. 9 Explanation Post Ref. CPJ1 Debit 3 0 0 00 Credit Debit 3 0 0 00 Credit
356
PROBLEM 10B-1
Amount 0 0 0 00 2 0 0 00 2 0 0 00 (X)
SOLUTIONS TO B PROBLEMS
357
Date 200X Jun. 4 5 8 14 30 Inv. PR No. Terms 400 2/10, n/30 518 411 415 2/10, n/30
Account Date of Credited Invoice Rolo Co. 6/5 Norton Co. 6/6 Mail.com 6/5 Mail.com 6/13
Accounts Sundry Dr. Payable Purchases Cr. Account PR Dr. 1 8 0 0 00 1 8 0 0 00 6 0 0 0 00 Store Equipment 121 6 4 0 0 00 4 0 0 00 1 2 0 0 00 Store Supplies 115 1 9 4 0 0 00 2 2 0 0 00 7 (510) (210)
Explanation
Debit
NAME ADDRESS
Explanation
Debit
NAME ADDRESS
Balance Date 200X Jun. 4 Explanation Post Ref. PJ3 Debit Credit Debit Credit 1 8 0 0 00 1 8 0 0 00
Balance Date 200X Jun. 14 Explanation Post Ref. PJ3 Debit 1 2 0 0 00 Credit Debit 1 2 0 0 00 Credit
358
Balance Date 200X Jun. 5 Explanation Post Ref. PJ3 Debit 6 0 0 0 00 Credit Debit 6 0 0 0 00 Credit
ACCOUNTS PAYABLE
Balance Date 200X Jun. 30 Explanation Post Ref. PJ3 Debit Credit 9 4 0 0 00 Debit Credit 9 4 0 0 00
PURCHASES
Balance Date 200X Jun. 30 Explanation Post Ref. PJ3 Debit 2 2 0 0 00 Credit Debit 2 2 0 0 00 Credit
359
360
Date 200X May 8 10 12 17 24 31 Inv. No. Terms PR 420 2/10, n/60 400 2/10, n/60 510 810 516
Account Date of Credited Invoice Broward Co. 5/9 Aton Co. 5/11 Midden Co. 5/13 Relar Co. 5/18 Midden Co. 5/25
Store Accounts Sundry Dr. Purchases Supplies Payable Dr. Dr. Amount Account Cr. PR 5 0 0 00 5 0 0 00 9 0 0 00 9 0 0 00 7 0 0 00 7 0 0 00 7 5 0 00 Office Equip. 120 7 5 0 00 8 5 0 00 8 5 0 00 3 7 0 0 00 1 4 0 0 00 1 5 5 0 00 7 5 0 00
(210)
(510)
(110)
(X)
Debit
Credit
4 0 0 00
Cr. Balance 4 0 0 00 9 0 0 00 1 3 0 0 00 9 0 0 00
NAME ADDRESS
Explanation Balance
Debit
Credit
Cr. Balance 6 0 0 00 5 0 0 00 1 1 0 0 00
NAME ADDRESS
Debit
Credit
Cr. Balance 1 2 0 0 00 7 0 0 00 1 9 0 0 00 8 5 0 00 2 7 5 0 00
NAME ADDRESS
Debit
Credit
Cr. Balance 5 0 0 00 7 5 0 00 1 2 5 0 00
361
Balance Date 200X May 31 Explanation Post Ref. PJ10 Debit 1 5 5 0 00 Credit Debit 1 5 5 0 00 Credit
OFFICE EQUIPMENT
Balance Date 200X May 17 Explanation Post Ref. PJ10 Debit 7 5 0 00 Credit Debit 7 5 0 00 Credit
ACCOUNTS PAYABLE
Balance Date 200X Explanation May 1 Balance 14 31 Post Ref. GJ2 PJ10 Debit 4 0 0 00 3 7 0 0 00
PURCHASES
Credit
Debit
Credit 2 7 0 0 00 2 3 0 0 00 6 0 0 0 00
Balance Date 200X Explanation May 1 Balance 31 Post Ref. PJ10 Debit 1 4 0 0 00 Credit Debit 16 0 0 0 00 17 4 0 0 00 Credit
Balance Date 200X May 14 Explanation Post Ref. GJ2 Debit Credit 4 0 0 00 Debit Credit 4 0 0 00
362
Account Titles and Description Accounts Payable, Aton Co. Purchases Returns and Allowances Issued Debit Memo #7
PR 210/ 512
Dr. 4 0 0 00
Cr. 4 0 0 00
MABELS NATURAL FOOD STORE SCHEDULE OF ACCOUNTS PAYABLE MAY 31, 200X
Aton Co. Broward Co. Midden Co. Relar Co. Total Accounts Payable
$ 1 2 1 $6
9 1 7 2 0
0 0 5 5 0
0 0 0 0 0
00 00 00 00 00
363
PROBLEM 10B-3
(1, 2)
JONES COMPUTER CENTER CASH PAYMENTS JOURNAL PAGE 5
364
Date Check 200X No. May 1 21 3 22 6 23 18 24 24 25 28 26 29 27 30 28 31 Account Debited Delivery Truck Henry Co. Cash Purchase Cash Purchase Xon Co. Rent Expense Soy Co. Utilities Expense PR. 150 X X 610 620
7 0 00
1 1 3
8 5 00 15 (511)
00 00 00 00 00 00 00 00 00
PROBLEM 10B-3
ACCOUNTS PAYABLE SUBSIDIARY LEDGER NAME ADDRESS ALVIN CO. 1 REACH RD., IPSWICH, MA 01932
Explanation Balance
Post Ref.
Debit
Credit
Cr. Balance 1 2 0 0 00
NAME ADDRESS
Explanation Balance
Debit 3 0 0 00
Credit
Cr. Balance 6 0 0 00 3 0 0 00
NAME ADDRESS
Debit 4 0 0 00
Credit
Cr. Balance 8 0 0 00 4 0 0 00
NAME ADDRESS
Debit 1 4 0 0 00
Credit
Cr. Balance 1 4 0 0 00
365
Balance Date 200X Explanation May 1 Balance 31 Post Ref. CPJ5 Debit Debit 17 0 0 0 00 15 3 4 0 00 1 6 6 0 00 Credit Credit
DELIVERY TRUCK
Balance Date 200X May 1 Explanation Post Ref. Debit CPJ5 8 0 0 0 00 Credit Debit 8 0 0 0 00 Credit
ACCOUNTS PAYABLE
Balance Date 200X Explanation May 1 Balance 31 Post Ref. Debit CPJ5 2 1 0 0 00 Credit Debit Credit 4 0 0 0 00 1 9 0 0 00
COMPUTER PURCHASES
Balance Date 200X May 31 Explanation Post Ref. Debit CPJ5 1 9 0 0 00 Credit Debit 1 9 0 0 00 Credit
366
Balance Date 200X May 31 Explanation Post Ref. CPJ5 Debit Credit 8 5 00 Debit Credit 8 5 00
RENT EXPENSE
Balance Date 200X May 28 Explanation Post Ref. Debit CPJ5 3 0 0 0 00 Credit Debit 3 0 0 0 00 Credit
UTILITIES EXPENSE
Balance Date 200X May 30 Explanation Post Ref. CPJ5 Debit 4 2 5 00 Credit Debit 4 2 5 00 Credit
$1 2 3 4 $1 9
0 0 0 0
0 0 0 0
00 00 00 00
367
Account Credited PR
368
Mar.
1 8 10 20 26 28 31
Earl Miller Co. Earl Miller Co. Minnie Katz Sam Katz Garage Woody Smith Earl Miller Co.
6 0 8 7 0 2 5 5 9 4 2 26 4 0 0 0 0 0 0 0 0 0 0 0 0 0 0 00 6 00 00 7 00 00 5 00 4 00 23
2 5 0 0 00
(210)
(510)
(X)
369
Date Check 200X No. Account Debited Mar. 1 1 Prepaid Rent 9 2 Cleaning Expense 12 3 Earl Miller Co. 13 4 Salaries Expense 23 5 Minnie Katz 25 6 Toy Purchase 30 7 Earl Miller Co. 31
Accounts Sundry Payable PR. Dr. Dr. 114 1 0 0 0 00 612 4 0 0 00 6 0 0 0 00 610 7 0 0 00 6 5 0 0 00 510 8 0 0 00 4 2 0 0 00 2 9 0 0 00 16 7 0 0 00 (X) (210)
00 00 00 00 00 00 00 00
Invoice No. 1 2 3 4 5 6 7
Terms 2/10, n/30 2/10, n/30 2/10, n/30 2/10, n/30 2/10, n/30 2/10, n/30 2/10, n/30
Account Debited Bill Burton Jim Rex Bill Burton Amy Rose Bill Burton Amy Rose Bonnie Flow Co.
PR
Date 200X Account Titles and Description Mar. 10 Sales Returns and Allowances Accounts Receivable, Jim Rex Issued Credit Memo #1 14 Accounts Payable, Minnie Katz Purchases Returns and Allowances Issued Debit Memo #1
PR 412 112/
Dr. 2 0 0 00
Cr. 2 0 0 00
210/ 512
5 0 0 00 5 0 0 00
370
Sundry Cr.
4 1 4 1 2 00 4 0 00 4 0 00 9 2 00 (414) 1 1 1 3 19
Account Names A. Ellen, Capital 1 5 0 0 00 Cash Sales 4 8 0 0 00 Cash Sales 6 0 0 00 Jim Rex 1 6 0 0 00 Bill Burton 2 0 0 0 00 Bill Burton 2 0 0 0 00 Amy Rose A. Ellen, Capital 6 2 0 0 00 6 3 0 0 00 (112) (410)
371
310 3 0 0 0 00 7 0 0 0 00 (X)
Explanation
Debit 1 6 0 0 00 7 0 0 00
Dr. Balance 1 6 0 0 00 2 3 0 0 00 1 6 0 0 00 7 0 0 00 2 0 0 0 00 2 7 0 0 00 2 0 0 0 00 7 0 0 00
Credit
NAME ADDRESS
Explanation
Debit 3 2 0 0 00
Credit
Dr. Balance 3 2 0 0 00
NAME ADDRESS
Explanation
Debit 8 0 0 00
Credit
Dr. Balance 8 0 0 00 2 0 0 00 6 0 0 00 6 0 0 00
372
Explanation
Debit 6 0 0 0 00 2 0 0 0 00
Dr. Balance 6 0 0 0 00 8 0 0 0 00 2 0 0 0 00 6 0 0 0 00
Credit
ACCOUNTS PAYABLE SUBSIDIARY LEDGER NAME ADDRESS MINNIE KATZ 87 GARFIELD AVE., REVERE, MA 01245
Explanation
Debit
NAME ADDRESS
Explanation
Debit
NAME ADDRESS
Explanation
Debit
373
Explanation
Debit
Bill Burton Bonnie Flow Co. Amy Rose Total Accounts Receivable
$ 3 6 $9
7 2 0 9
0 0 0 0
0 0 0 0
00 00 00 00
Sam Katz Garage Earl Miller Co. Woody Smith Total Accounts Payable
$2 5 8 5 9 $9 2
0 0 0 0
0 0 0 0
00 00 00 00
374
Balance Date 200X Mar. 31 31 Explanation Post Ref. Debit Credit Debit CRJ1 19 4 0 8 00 19 4 0 8 00 CPJ1 19 3 3 1 00 7 7 00 Credit
ACCOUNTS RECEIVABLE
Balance Date 200X Mar. 10 31 31 Explanation Post Ref. Debit Credit Debit GJ1 2 0 0 00 SJ1 16 3 0 0 00 16 1 0 0 00 CRJ1 6 2 0 0 00 9 9 0 0 00 Credit 2 0 0 00
PREPAID RENT
Balance Date 200X Mar. 1 Explanation Post Ref. Debit CPJ1 1 0 0 0 00 Credit Debit 1 0 0 0 00 Credit
DELIVERY TRUCK
Balance Date 200X Mar. 20 Explanation Post Ref. PJ1 Debit 2 5 0 0 00 Credit Debit 2 5 0 0 00 Credit
375
Balance Date 200X Mar. 14 31 31 Explanation Post Ref. Debit Credit GJ1 5 0 0 00 PJ1 26 4 0 0 00 CPJ1 16 7 0 0 00
A. ELLEN, CAPITAL
Debit 5 0 0 00
Credit 25 9 0 0 00 9 2 0 0 00
Balance Date 200X Mar. 1 28 Explanation Post Ref. CRJ1 CRJ1 Debit Credit 4 0 0 0 00 3 0 0 0 00 Debit Credit 4 0 0 0 00 7 0 0 0 00
TOY SALES
Balance Date 200X Mar. 31 31 Explanation Post Ref. SJ1 CRJ1 Debit Credit 16 3 0 0 00 6 3 0 0 00 Debit Credit 16 3 0 0 00 22 6 0 0 00
Balance Date 200X Mar. 10 Explanation Post Ref. GJ1 Debit 2 0 0 00 Credit Debit 2 0 0 00 Credit
SALES DISCOUNTS
Balance Date 200X Mar. 31 Explanation Post Ref. CRJ1 Debit 9 2 00 Credit Debit 9 2 00 Credit
376
Balance Date 200X Mar. 25 31 Explanation Post Ref. Debit CPJ1 8 0 0 00 PJ1 23 9 0 0 00 Credit Debit 8 0 0 00 24 7 0 0 00 Credit
Balance Date 200X Mar. 14 Explanation Post Ref. GJ1 Debit Credit 5 0 0 00 Debit Credit 5 0 0 00
PURCHASES DISCOUNT
Balance Date 200X Mar. 31 Explanation Post Ref. CPJ1 Debit Credit 2 6 9 00 Debit Credit 2 6 9 00
SALARIES EXPENSE
Balance Date 200X Mar. 13 Explanation Post Ref. CPJ1 Debit 7 0 0 00 Credit Debit 7 0 0 00 Credit
CLEANING EXPENSE
Balance Date 200X Mar. 9 Explanation Post Ref. CPJ1 Debit 4 0 0 00 Credit Debit 4 0 0 00 Credit
377
Purchases PJ 18,000
Salaries Expense CPJ 2,600 CPJ 2,600 ACCOUNTS RECEIVABLE SUBSIDIARY LEDGER Blue Co. Jon Co. SJ 5,600 SJ 4,800 4,800 CRJ 1,600 GJ 2,000 CRJ Roff Co.
SJ 6,400
3,200 CRJ
ACCOUNTS PAYABLE SUBSIDIARY LEDGER Ralph Co. 4,000 PJ Sos Co. CPJ 3,000 6,000 PJ Jingle Co. GJ 800 CPJ 4,000 8,000 PJ
378
SOLUTIONS TO REAL WORLD APPLICATION #3 The question in this case is whether Mel and Joanne should backdate the check in order to make the discount period. Although a business should try to pay bills during the discount period, they should never backdate a check. It is extremely unethical to backdate a check, knowing full well that they missed the discount date. Instead of backdating their check, Joanne and Mel should make certain that future bills are paid within the discount period.
379
Date 2 4 2 8 2 9
2 5 0 00 (1030)
Check Date No. Accounts Debited 2 1 2585 Prepaid Rent 2 15 2586 Multi Systems 2 27 2587 Office Supplies
Cash Cr. 1 2 0 0 00 4 5 0 00 5 0 00
1 2 5 0 00 (X)
GENERAL JOURNAL
4 5 0 00 (2000)
1 7 0 0 00 (1000)
PAGE 11
Date Account Titles and Description PR 2 21 Accounts Payable (Computer Connection) 2000/6A7 Purchase Ret. & Allowances 6010
Dr. 1 0 0 00
Cr. 1 0 0 00
380
Balance Date 200X Explanation 2 1 Balance forward 2 29 Post Ref. CP1 Debit Debit 15 1 1 6 65 1 7 0 0 00 13 4 1 6 65 Credit Credit
SUPPLIES
Balance Date 200X Explanation 2 1 Balance forward 2 29 2 27 Post Ref. PJ1 CP1 Debit 2 5 0 00 5 0 00 Credit Debit 1 3 2 00 3 8 2 00 4 3 2 00 Credit
MERCHANDISE INVENTORY
Balance Date 200X Explanation Post Ref. Debit Credit Debit Credit
PREPAID RENT
Balance Date 200X 2 1 2 1 Explanation Balance forward Post Ref. P1 Debit 1 2 0 0 00 Credit Debit 1 6 0 0 00 2 8 0 0 00 Credit
381
ACCOUNTS PAYABLE
Balance Date 200X Explanation 2 1 Balance forward 2 28 2 21 2 29 Post Ref. PJ1 GJ1 CPJ Debit Credit 1 2 0 0 00 1 0 0 00 4 5 0 00 Debit 2 3 3 2 Credit 0 5 0 00 2 5 0 00 1 5 0 00 7 0 0 00
ACCOUNTS PAYABLE SUBSIDIARY LEDGER NAME ADDRESS MULTI SYSTEMS 1919 MORAN ST., ANAHEIM, CA 92606 # 6A3
Date 200X 2 1 2 4 2 15
Debit
Credit
4 5 0 00
Cr. Balance 4 5 0 00 4 5 0 00 9 0 0 00 4 5 0 00
NAME ADDRESS
# 6A4
Date 200X 2 1 8*
Debit
Credit
Cr. Balance 5 0 00 2 5 0 00 3 0 0 00
NAME ADDRESS
# 6A5
382
NAME ADDRESS
# 6A7
Date 200X 2 9 21
Debit 1 0 0 00
NAME ADDRESS
# 6A6
Date 200X 2 1
Post Ref.
Debit
NAME ADDRESS
# 6A8
Date 200X 2 1
Post Ref.
Debit
Credit
Dr. Balance 1 4 0 0 00
383
PURCHASES
Balance Date 200X 2 29 Explanation Post Ref. PJ1 Debit 9 5 0 00 Credit Debit 9 5 0 00 Credit
Balance Date 200X 2 2 Explanation Post Ref. J11 Debit Credit 1 0 0 00 Debit Credit 1 0 0 00
PURCHASE DISCOUNTS
Balance Date 200X Explanation Post Ref. Debit Credit Debit Credit
System Design Furniture Pacific Bell Computer Connection Multi Systems Office Depot San Diego Electric TOTAL
1 4 1 4 4 3 -
0 5 0 5 0 0
0 0 0 0 0 -
00 00 00 00 00
2 7 0 0 00
384