C. December 1. Wrote check to establish a petty cash fund, $200 CK NO. 21. d. December 9. Used debit card to buy supplies, $120.00. Memorandum No. 12. December 14. Paid cash for insurance, using EFT, $50.00. Memorandum No. 13. December 18. The bank notified Bub's Gym of a dishonored check from Hawks Athletics for $50.00, with a fee of $35.00. Memorandum No. 14. e. f. g. December 27. Paid cash for electric bill, $200.00. Check No. 23. h. December 31. Replenished petty cash fund for Postage Expense, $15.00, Supplies Expense 30.00, and Miscellaneous Expense, $10.00, totaling $55.00. Check No. 24. i. December 31. Received bank statement showing December bank service charge, $25.00. Memorandum No. 15.

Quickbooks Online Accounting
3rd Edition
ISBN:9780357391693
Author:Owen
Publisher:Owen
Chapter7: Payroll
Section: Chapter Questions
Problem 2.11C
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C. December 1. Wrote check to establish a petty cash fund, $200.00. Check No. 21.
d. December 9. Used debit card to buy supplies, $120.00. Memorandum No. 12.
December 14. Paid cash for insurance, using EFT, $50.00. Memorandum No. 13.
f. December 18. The bank notified Bub's Gym of a dishonored check from Hawks Athletics for
$50.00, with a fee of $35.00. Memorandum No. 14.
e.
g.
December 27. Paid cash for electric bill, $200.00. Check No. 23.
h. December 31. Replenished petty cash fund for Postage Expense, $15.00, Supplies Expense,
30.00, and Miscellaneous Expense, $10.00, totaling $55.00. Check No. 24.
i.
December 31. Received bank statement showing December bank service charge, $25.00.
Memorandum No. 15.
Transcribed Image Text:C. December 1. Wrote check to establish a petty cash fund, $200.00. Check No. 21. d. December 9. Used debit card to buy supplies, $120.00. Memorandum No. 12. December 14. Paid cash for insurance, using EFT, $50.00. Memorandum No. 13. f. December 18. The bank notified Bub's Gym of a dishonored check from Hawks Athletics for $50.00, with a fee of $35.00. Memorandum No. 14. e. g. December 27. Paid cash for electric bill, $200.00. Check No. 23. h. December 31. Replenished petty cash fund for Postage Expense, $15.00, Supplies Expense, 30.00, and Miscellaneous Expense, $10.00, totaling $55.00. Check No. 24. i. December 31. Received bank statement showing December bank service charge, $25.00. Memorandum No. 15.
DATE
ACCOUNT TITLE
FIVE COLUMN JOURNAL
DOC. POST
NO. REF.
GENERAL
DEBIT
CREDIT
SALES
CREDIT
4
DEBIT
CASH
$200.00
CREDIT
Transcribed Image Text:DATE ACCOUNT TITLE FIVE COLUMN JOURNAL DOC. POST NO. REF. GENERAL DEBIT CREDIT SALES CREDIT 4 DEBIT CASH $200.00 CREDIT
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