the commission. Purchased store supplies, P12,100 and issued Check no. 100499. Paid accounts with Consolation Marketing and availed of the discount. Check no. 100500 was issued for the balance. Purchased on account from Kleer Wholesalers, P78,000 of various canned goods, terms 5/10, n/20. 23 Paid Media Network for online and paper advertisements, P19,820 with Check no. 100501. Received Credit Memo from Kleer Wholesalers for P8,000 worth of merchandised returned as damaged. Collected P64,800 as sales for the day. Issued O.R. NO. 3709. 24 Service charges collected from customers, P6,300 in which P3,500 is commissions of riders. Issued check no. 100501 for the commission. Received Statement of Account No. 4387 from Petrol Services and check no. 100502 was issued for the payment of P6,230. 25 Sold merchandise on account to Pete's Diner, P13,100. Client picked up the goods at the store. Paid Kieso Motorcycle for repairs of motorcycle, P2,100. Check no. 100502 was issued as payment. Purchased for Cebu Traders merchandise costing P57,600 on account, terms 5/10, n/20. Freight of P3,640 was paid to LBC upon delivery. 27 Settled accounts with Kleer Wholesalers and issued Check no. 100504 for the payment. 29 Paid Salaries of staff, P18,000 and issued Check No. 100505. Collected cash sales of P72,100.Service charges collected from customers amounted to 6,800, in which P2,250 is commissions of riders. Check number 100506 was issued for the commissions. 30 Issued O.R. NO. 3710. Collected payments from Pete's Diner representing 1./2 of the total amount due. Issued O.R. NO. 3711. Paid Cebu Traders for account due and issued check number 100507. Cash sales for the day, P57,050. Issued O.R. NO. 3712. Services charges collected from customers totaled P5,128, in which P2,700 were commissions of riders. Check no. 100508 was issued for 31 the commission. Katrina Go withdraw P30,000 from the store. Issued Check no. 100508 Actual inventory at the end of the month is P163,500.00.

College Accounting (Book Only): A Career Approach
13th Edition
ISBN:9781337280570
Author:Scott, Cathy J.
Publisher:Scott, Cathy J.
Chapter10: Cash Receipts And Cash Payments
Section: Chapter Questions
Problem 3PB
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the company shift to a Merchandising business. Provide the Journal Entries of the following transactions.
the commission.
Purchased store supplies, P12,100 and issued Check no. 100499.
Paid accounts with Consolation Marketing and availed of the discount. Check no. 100500 was
issued for the balance.
Purchased on account from Kleer Wholesalers, P78,000 of various canned goods, terms 5/10,
n/20.
23
Paid Media Network for online and paper advertisements, P19,820 with Check no. 100501.
Received Credit Memo from Kleer Wholesalers for P8,000 worth of merchandised returned as
damaged.
Collected P64,800 as sales for the day. Issued O.R. NO. 3709.
24
Service charges collected from customers, P6,300 in which P3,500 is commissions of riders.
Issued check no. 100501 for the commission.
Received Statement of Account No. 4387 from Petrol Services and check no. 100502 was issued
for the payment of P6,230.
25
Sold merchandise on account to Pete's Diner, P13,100. Client picked up the goods at the store.
Paid Kieso Motorcycle for repairs of motorcycle, P2,100. Check no. 100502 was issued as
payment.
Purchased for Cebu Traders merchandise costing P57,600 on account, terms 5/10, n/20. Freight
of P3,640 was paid to LBC upon delivery.
27
Settled accounts with Kleer Wholesalers and issued Check no. 100504 for the payment.
29
Paid Salaries of staff, P18,000 and issued Check No. 100505.
Collected cash sales of P72,100.Service charges collected from customers amounted to 6,800, in
which P2,250 is commissions of riders. Check number 100506 was issued for the commissions.
30
Issued O.R. NO. 3710.
Collected payments from Pete's Diner representing 1./2 of the total amount due. Issued O.R. NO.
3711.
Paid Cebu Traders for account due and issued check number 100507.
Cash sales for the day, P57,050. Issued O.R. NO. 3712. Services charges collected from customers
totaled P5,128, in which P2,700 were commissions of riders. Check no. 100508 was issued for
31
the commission.
Katrina Go withdraw P30,000 from the store. Issued Check no. 100508
Actual inventory at the end of the month is P163,500.00.
Transcribed Image Text:the commission. Purchased store supplies, P12,100 and issued Check no. 100499. Paid accounts with Consolation Marketing and availed of the discount. Check no. 100500 was issued for the balance. Purchased on account from Kleer Wholesalers, P78,000 of various canned goods, terms 5/10, n/20. 23 Paid Media Network for online and paper advertisements, P19,820 with Check no. 100501. Received Credit Memo from Kleer Wholesalers for P8,000 worth of merchandised returned as damaged. Collected P64,800 as sales for the day. Issued O.R. NO. 3709. 24 Service charges collected from customers, P6,300 in which P3,500 is commissions of riders. Issued check no. 100501 for the commission. Received Statement of Account No. 4387 from Petrol Services and check no. 100502 was issued for the payment of P6,230. 25 Sold merchandise on account to Pete's Diner, P13,100. Client picked up the goods at the store. Paid Kieso Motorcycle for repairs of motorcycle, P2,100. Check no. 100502 was issued as payment. Purchased for Cebu Traders merchandise costing P57,600 on account, terms 5/10, n/20. Freight of P3,640 was paid to LBC upon delivery. 27 Settled accounts with Kleer Wholesalers and issued Check no. 100504 for the payment. 29 Paid Salaries of staff, P18,000 and issued Check No. 100505. Collected cash sales of P72,100.Service charges collected from customers amounted to 6,800, in which P2,250 is commissions of riders. Check number 100506 was issued for the commissions. 30 Issued O.R. NO. 3710. Collected payments from Pete's Diner representing 1./2 of the total amount due. Issued O.R. NO. 3711. Paid Cebu Traders for account due and issued check number 100507. Cash sales for the day, P57,050. Issued O.R. NO. 3712. Services charges collected from customers totaled P5,128, in which P2,700 were commissions of riders. Check no. 100508 was issued for 31 the commission. Katrina Go withdraw P30,000 from the store. Issued Check no. 100508 Actual inventory at the end of the month is P163,500.00.
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