Accounting The following cash, credit stock purchases and returns were made RMIT Bookstore during June. Date Details Amount (incl GST) June 2 Purchase from Diane June 8 Purchase from Bean $ 550 $ 198 $ 66 $ 44 $ 693 $ 154 June 18 Return to Diane June 23 Return to Bean June 28 Cash Purchases June 29 Paid Bean Task 8 Required: Record the transactions in the General Journal. Post the General Ledger and Subsidiary Ledger. Reconcile the Payables Ledger with the General Ledger.

Century 21 Accounting General Journal
11th Edition
ISBN:9781337680059
Author:Gilbertson
Publisher:Gilbertson
Chapter16: Financial Statements And Closing Entries For A Corporation
Section16.5: Preparing A Post-closing Trial Balance
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Accounting
The following cash, credit stock purchases and returns were made RMIT Bookstore during June.
Date
Details
Amount (incl GST)
June 2 Purchase from Diane
June 8 Purchase from Bean
June 18 Return to Diane
June 23 Return to Bean
June 28 Cash Purchases
June 29 Paid Bean
$ 550
$ 198
$ 66
$ 4
$ 693
$ 154
Task 8
Required:
Record the transactions in the General Journal.
Post the General Ledger and Subsidiary Ledger.
Reconcile the Payables Ledger with the General Ledger.
Answer:
General Journal - RMIT Bookstore
Date
Particulars
Debit
Credit
General Ledger - RMIT Bookstore
Bank
Date
Particulars
Debit
Credit
Balance
Inventory
Date
Particulars
Debit
Credit
Balance
GST Paid
Date
Particulars
Debit
Credit
Balance
Accounts Payable
Date
Particulars
Debit
Credit
Balance
Payables Subsidiary Ledger - RMIT Bookstore
Bean
Date
Particulars
Debit
Credit
Balance
Diane
Date
Particulars
Debit
Credit
Balance
Payables Subsidiary Reconciliation - RMIT Bookstore
Diane
Balance per Control Account
Transcribed Image Text:Accounting The following cash, credit stock purchases and returns were made RMIT Bookstore during June. Date Details Amount (incl GST) June 2 Purchase from Diane June 8 Purchase from Bean June 18 Return to Diane June 23 Return to Bean June 28 Cash Purchases June 29 Paid Bean $ 550 $ 198 $ 66 $ 4 $ 693 $ 154 Task 8 Required: Record the transactions in the General Journal. Post the General Ledger and Subsidiary Ledger. Reconcile the Payables Ledger with the General Ledger. Answer: General Journal - RMIT Bookstore Date Particulars Debit Credit General Ledger - RMIT Bookstore Bank Date Particulars Debit Credit Balance Inventory Date Particulars Debit Credit Balance GST Paid Date Particulars Debit Credit Balance Accounts Payable Date Particulars Debit Credit Balance Payables Subsidiary Ledger - RMIT Bookstore Bean Date Particulars Debit Credit Balance Diane Date Particulars Debit Credit Balance Payables Subsidiary Reconciliation - RMIT Bookstore Diane Balance per Control Account
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