a) Define the term contra entries?

Principles of Accounting Volume 1
19th Edition
ISBN:9781947172685
Author:OpenStax
Publisher:OpenStax
Chapter5: Completing The Accounting Cycle
Section: Chapter Questions
Problem 1PA: Identify whether each of the following accounts would be considered a permanent account (yes/no) and...
icon
Related questions
Question
ship ootes NO
10:48 B
entrepreneurshi.
ASSIGNMENT TWO
Number One
a) Define the term contra entries?
b) Distinguish between discount allowed and discount received?
c) With relevant examples, discuss reasons why stakeholders value accounting processes?
d) Explain the following terms as used in accounting?
Working capital
i.
Long term liabilities
iii,
Non-current assets
iv.
Trial balance
Number Two
The following relate to Moses during the month of January 2004
Jan. 1" Balances brought forward: Cash shs 10,000
2nd Bought goods by cheque shs 10,000
4th Paid rent by cheque shs 5,000
6th Paid cash into bank shs 3,000
8th Sold goods and received cash shs 8,000
10 Withdrew cash from the business for his personal use shs 500
Shs 5,
Bank
16h Received a cheque from Opio shs 5,000
20h Cash sales shs 2,000
27" Puid for wuges in cash shs ,000
28th Cash purchases shs 8,500
Required:
a) Record the above transactions in Mose's two column cashbook and balance it
b) Comment about the position of Moses given the bank balunce from the cashbook
c) Prepare the necessary ledger accounts
d) Extract a trial balance
40
02020 - Entrepreneurship notes NDU
Transcribed Image Text:ship ootes NO 10:48 B entrepreneurshi. ASSIGNMENT TWO Number One a) Define the term contra entries? b) Distinguish between discount allowed and discount received? c) With relevant examples, discuss reasons why stakeholders value accounting processes? d) Explain the following terms as used in accounting? Working capital i. Long term liabilities iii, Non-current assets iv. Trial balance Number Two The following relate to Moses during the month of January 2004 Jan. 1" Balances brought forward: Cash shs 10,000 2nd Bought goods by cheque shs 10,000 4th Paid rent by cheque shs 5,000 6th Paid cash into bank shs 3,000 8th Sold goods and received cash shs 8,000 10 Withdrew cash from the business for his personal use shs 500 Shs 5, Bank 16h Received a cheque from Opio shs 5,000 20h Cash sales shs 2,000 27" Puid for wuges in cash shs ,000 28th Cash purchases shs 8,500 Required: a) Record the above transactions in Mose's two column cashbook and balance it b) Comment about the position of Moses given the bank balunce from the cashbook c) Prepare the necessary ledger accounts d) Extract a trial balance 40 02020 - Entrepreneurship notes NDU
Expert Solution
trending now

Trending now

This is a popular solution!

steps

Step by step

Solved in 2 steps

Blurred answer
Similar questions
  • SEE MORE QUESTIONS
Recommended textbooks for you
Principles of Accounting Volume 1
Principles of Accounting Volume 1
Accounting
ISBN:
9781947172685
Author:
OpenStax
Publisher:
OpenStax College
Survey of Accounting (Accounting I)
Survey of Accounting (Accounting I)
Accounting
ISBN:
9781305961883
Author:
Carl Warren
Publisher:
Cengage Learning
Financial Accounting: The Impact on Decision Make…
Financial Accounting: The Impact on Decision Make…
Accounting
ISBN:
9781305654174
Author:
Gary A. Porter, Curtis L. Norton
Publisher:
Cengage Learning
Cornerstones of Financial Accounting
Cornerstones of Financial Accounting
Accounting
ISBN:
9781337690881
Author:
Jay Rich, Jeff Jones
Publisher:
Cengage Learning