Question

Match each of the following transactions to the journal entry and subsidiary ledger posting (a through...

Match each of the following transactions to the journal entry and subsidiary ledger posting (a through k) that best applies.

Issued check for rent

Purchased equipment on account

Issued an invoice to a customer

Received a check from a customer for payment on account

Issued check for advertising expense

Issued check for a payment on account

Issued check for purchase of supplies

Issued check for salary

Received cash for a sale

Purchased supplies on account

Purchased a computer for cash

Paid for the equipment purchased on account

Journalized the adjusting entry for supplies used during the month

a.

CR, no subsidiary posting

b.

CP, no subsidiary posting

c.

R, no subsidiary posting

d.

P, no subsidiary posting

e.

G, no subsidiary posting

f.

CR, AR

g.

CP, AP

h.

R, AR

i.

P, AP

j.

G, AR

k.

G, AP

Homework Answers

Know the answer?
Your Answer:

Post as a guest

Your Name:

What's your source?

Earn Coins

Coins can be redeemed for fabulous gifts.

Not the answer you're looking for?
Ask your own homework help question
Similar Questions
Purchases and Cash Payments Journals; Accounts Payable subsidiary and General Ledgers West Texas Exploration Co. was...
Purchases and Cash Payments Journals; Accounts Payable subsidiary and General Ledgers West Texas Exploration Co. was established on October 15 to provide oil-drilling services. West Texas uses field equipment (rigs and pipe) and field supplies (drill bits and lubricants) in its operations. Transactions related to purchases and cash payments during the remainder of October are as follows: Oct. 16. Issued Check No. 1 in payment of rent for the remainder of October, $7,000. 16. Purchased field equipment on account from...
The transactions completed by Revere Courier Company during December, the first month of the fiscal year,...
The transactions completed by Revere Courier Company during December, the first month of the fiscal year, were as follows: Dec. 1. Issued Check No. 610 for December rent, $4,200. Dec. 2. Issued Invoice No. 940 to Clifford Co., $1,740 Dec. 3. Received check for $4,800 from Ryan Co. in payment of account. Dec. 5. Purchased a vehicle on account from Platinum Motors, $37,300. Dec. 6. Purchased office equipment on account from Austin Computer Co., $4,500. Dec. 6. Issued Invoice No....
Sweetwater Water Testing Service was established on June 16. Sweetwater uses field equipment and field supplies...
Sweetwater Water Testing Service was established on June 16. Sweetwater uses field equipment and field supplies (chemicals and other supplies) to analyze water for unsafe contaminants in streams, lakes, and ponds. Transactions related to purchases and cash payments during the remainder of June are as follows: June 16. Issued Check No. 1 in payment of rent for the remainder of June, $2,900. 16. Purchased field supplies on account from Hydro Supply Co., $4,920. 16. Purchased field equipment on account from...
Exercise 7-12 Posting to subsidiary ledger accounts; preparing a schedule of accounts receivable LO P1 At...
Exercise 7-12 Posting to subsidiary ledger accounts; preparing a schedule of accounts receivable LO P1 At the end of May, the sales journal of Mountain View appears as follows. Assume beginning inventory balance for May to be $16,806.    Date Account Debited Invoice Number PR Accounts Receivable Dr. Sales Cr. Cost of Goods Sold Dr. Inventory Cr. May 6 Aaron Reckers 190 4,880 3,709 10 Sara Reed 191 3,940 3,251 17 Anna Page 192 1,753 1,031 25 Sara Reed 193...
Required: Enter the above transactions in: Sales Journal, Purchases Journal, Cash Receipts Journal, Cash Disbursements Journal...
Required: Enter the above transactions in: Sales Journal, Purchases Journal, Cash Receipts Journal, Cash Disbursements Journal or a General Journal Grassley Company completes these transactions during November of the current year (terms for all its credits sales are 2/10, n/30). Nov.1 Purchased $5,058 of office equipment on credit from Brun supply, invoice dated November 1, terms n/10 EOM. 2 Borrowed $88, 500 cash from Wisconsin Bank by signing a long-term note payable. 4 Purchased $33,500 of merchandise from BLR Industries,...
Journalize the transactions of Lawrence Engineering. Include an explanation with each journal entry. Use the following​...
Journalize the transactions of Lawrence Engineering. Include an explanation with each journal entry. Use the following​ accounts: Cash; Accounts​ Receivable; Office​ Supplies; Equipment; Accounts​ Payable; Notes​ Payable; Common​ Stock; Dividends; Service​ Revenue; Utilities Expense. ​(Record debits​ first, then credits. Select the explanation on the last line of the journal entry​ table.) 2 Received $14,000 contribution from Rob Lawrence in exchange for common stock. 4 Paid utilities expense of $ 420 5 Purchased equipment on​ account, $1,800. 10 Performed services for...
Dec. 1. Issued Check No. 610 for December rent, $4,500. 2. Issued Invoice No. 940 to...
Dec. 1. Issued Check No. 610 for December rent, $4,500. 2. Issued Invoice No. 940 to Capps Co., $1,980. 3. Received check for $5,100 from Trimble Co. in payment of account. 5. Purchased a vehicle on account from Boston Transportation, $39,500. 6. Purchased office equipment on account from Austin Computer Co., $4,800. 6. Issued Invoice No. 941 to Dawar Co., $5,680. 9. Issued Check No. 611 for fuel expense, $800. 10. Received check from Sing Co. in payment of $4,850...
DATE TRANSACTIONS 2019 Sept. 1 Zack Mason invested $30,000 in cash to start the firm. 4...
DATE TRANSACTIONS 2019 Sept. 1 Zack Mason invested $30,000 in cash to start the firm. 4 Purchased office equipment for $3,250 on credit from Den, Inc.? received Invoice 9823, payable in 30 days. 16 Purchased an automobile that will be used to visit clients? issued Check 1001 for $15,000 in full payment. 20 Purchased supplies for $260? paid immediately with Check 1002. 23 Returned damaged supplies for a cash refund of $85. 30 Issued Check 1003 for $2,100 to Den,...
For each of these transactions, events, or facts, record the necessary journal entry. a. Received an...
For each of these transactions, events, or facts, record the necessary journal entry. a. Received an $6,000 advance to provide services in the future b. Provided services that were paid for in a), above c. Paid a $3,000 two-year insurance policy in advance d. Accrued $5,000 rent expense to be paid next month e. Recorded $4,000 depreciation on plant assets f. Purchased $2,000 supplies with cash g. Sold $9,000 of inventory for $11,000 on account h. Recognized the expiration of...
Harris, Inc. incurred the following transactions during the month of February. Record the appropriate ones in...
Harris, Inc. incurred the following transactions during the month of February. Record the appropriate ones in the cash payments journal. Include posting references. a. On February 3, the company purchased $650 worth of supplies on account. The supplies account number is 15. b. On February 5, Harris, Inc. made a payment on account to Sanders Industries in the amount of $1,215 (Check No. 2214). c. On February 14, Harris, Inc. bought a one-year insurance policy for $1,500. The prepaid insurance...