Question

Fill in the blank (11) 1. The ­­­­­­______ is used to record all transactions affecting the...

Fill in the blank (11)

1. The ­­­­­­______ is used to record all transactions affecting the checking account.

2. ­­______are additions to the checking account and can be classified into two types.

3. The Write check window should not be used to record ______, ______, ______ and ______.

4. ______ is the process of comparing the bank statement with your accounting records for the checking account.

5. A customer list contains ­­­­­information such as _______, ______ and ______.

6. Three possible ways for a customer to pay for goods and services are credit card sale, cash sale and ______.

Homework Answers

Answer #1

1.The Transaction register is used to record all transactions affecting the checking account.

2.Withdrawals and deposits are addtions to the checking account and can be classified into two types.

3.The Write chwck window should not be used to record to pay bills you have already entered in the Enter Bills Window,to pay employees and to pay taxes and liabilities.

4.Bank Reconciliation is the process of comparing the bank statement with your accounting records for the checking account.

5.A customer list contains information such as Customer Addresses,Customer Contact,and Customer phone number.

6.Three possible ways for a customer to pay for goods and services are credit card sale,cash sale,and net banking.

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
Fill in the blank 1. The ­­­­­­______ is used to record all transactions affecting the checking...
Fill in the blank 1. The ­­­­­­______ is used to record all transactions affecting the checking account. 2. ­­______are additions to the checking account and can be classified into two types. 3. The Write check window should not be used to record ______, ______, ______ and ______. 4. ______ is the process of comparing the bank statement with your accounting records for the checking account. 5. A customer list contains ­­­­­information such as _______, ______ and ______. 6. Three possible...
   Which of the following choices is not used to modify the chart of accounts? a.       Deleting accounts...
   Which of the following choices is not used to modify the chart of accounts? a.       Deleting accounts with balances b.      Adding new accounts c.       Editing accounts d.      Deleting unused accounts 2.      All of the following task may be completed in the banking section of the Home page except: a.       Receive Items b.      Write Checks c.       Reconcile Accounts d.      Make Deposit The one-step approach should not be used to pay the following: Sales Taxes Expenses, such as rent, utilities and insurance Bills for non-inventory items such as office supplies Bills...
Tracy Transaction’s Checking Account Transactions Directions: Record the following transactions on a checking account register. Be...
Tracy Transaction’s Checking Account Transactions Directions: Record the following transactions on a checking account register. Be sure to record the information carefully. Also be sure to do the arithmetic accurately. 1. Beginning Balance in Tracy’s checking account - $300 2. Tracy paid Sneaker World $63 for new sneakers on Oct. 15 with a debit card 3. Tracy deposited her paycheck on Oct. 21 in the amount of $43.25 4. Tracy wrote check #101 for $17.75 to Randy’s Records on Oct....
True or False 1. The check register list all accounts and their number. 2. Write check...
True or False 1. The check register list all accounts and their number. 2. Write check is associated with the Banking section of the Home Page. 3. To record a cash sale we must create a sales receipt then record the bank deposit. 4. When recording an Invoice, QuickBooks credits Accounts Receivable 5. The Enter Bill window is used to record services received but not yet paid. 6. An invoice is used to order goods. 7. We use the customer...
This information relates to the Cash account in the ledger of Oriole Company.           Balance September 1—$17,190;...
This information relates to the Cash account in the ledger of Oriole Company.           Balance September 1—$17,190; Cash deposited—$64,000           Balance September 30—$18,390; Checks written—$62,800 The September bank statement shows a balance of $17,290 at September 30 and the following memoranda. Credits Debits Collection from customer of electronic funds transfer $2,130 NSF check: H. Kane $860 Interest earned on checking account 60 Safety deposit box rent 75 At September 30, deposits in transit were $5,053 and outstanding checks totaled $2,698. Prepare the...
1) Which invoice layout in MYOB is most appropriate when recording inventory transactions? Select one: a....
1) Which invoice layout in MYOB is most appropriate when recording inventory transactions? Select one: a. Professional b. Item c. Service d. Miscellaneous 2) The Undeposited Funds Account in MYOB: Select one: a. All of these options b. Is a temporary clearing account recording each individual cash receipt c. Is cleared when the amounts receipted are actually banked d. Is used to assist with the reconciliation of the bank account 3)When customer records are set up in MYOB to track...
Multiple Choice 1) On December 15 of the current year, Conrad Accounting Services signed a $40,000...
Multiple Choice 1) On December 15 of the current year, Conrad Accounting Services signed a $40,000 contract with a client to provide bookkeeping services to the client in the following year. Which accounting principle would require Conrad Accounting Services to record the bookkeeping revenue in the following year and not the year the cash was received? • Going-concern assumption. • Monetary unit assumption. • Revenue recognition principle. • Business entity assumption. • Cost principle. 2) On January 1, a company...
问题1(20分) 以下信息可用于调节Forerunner Sdn Bhd的账面现金余额与截至2019年12月31日的银行对账单余额。 根据会计记录,12月31日的现金余额为63,487.40令吉,该日期的银行对账单余额为90,183.60令吉。 Check No. 2546 for RM2,168.40 and Check No. 2550 for RM780,...
问题1(20分) 以下信息可用于调节Forerunner Sdn Bhd的账面现金余额与截至2019年12月31日的银行对账单余额。 根据会计记录,12月31日的现金余额为63,487.40令吉,该日期的银行对账单余额为90,183.60令吉。 Check No. 2546 for RM2,168.40 and Check No. 2550 for RM780, both written and entered in the accounting records in December, are not among the cleared cheques. Two cheques, No. 2510 for RM4,578 and No. 2499 for RM741, were outstanding on the most recent 30 November 2019 reconciliation. Check No. 2510 is listed with the December cleared cheques, but Check No. 2499 is not. When the December cheques are compared with entries in the accounting...
1 800 941 3691 Top Five Tips To working With QuickBooks Online’s Bank Feed For Matching...
1 800 941 3691 Top Five Tips To working With QuickBooks Online’s Bank Feed For Matching Transaction. Top Five Tips To working With QuickBooks Online’s Bank Feed For Matching Transaction. You know that when you connect to your bank and credit card accounts with QuickBooks, It will scan all your bank data looking for matches, and recognized transactions. You can match the bank transaction over the existing transaction in QuickBooks, As you review the data. Here, we are giving some...
QUESTION 1 Which of the following is not a transaction category? Banking Employees and Payroll Customers...
QUESTION 1 Which of the following is not a transaction category? Banking Employees and Payroll Customers and Sales Company Preferences 4 points    QUESTION 2 Which report summarizes what a company has earned and the expenses incurred to earn the income? Balance Sheet Statement of Cash Flows Accounts Payable Report Profit and Loss Statement QUESTION 3 What is the primary objective of accounting? The primary objective of accounting is to provide information to the Internal Revenue Service (IRS) to ensure the...