Continue using the journal and journalize the following transaction: Mar. 31. Received bank statement showing March bank service charge, $30.00. M45.
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- 20-Business incurred travelling cost of OMR 50. Which of the following specialized journals will record this transaction? a. Purchase journal b. Cash receipt journal c. Cash payment journal d. Sales journalACCOUNTS RECEIVABLE LEDGER NAME: E. McKenzie ADDRESS: 4717 Erin St, Madison, WI 53713 DATE ITEM POST. REF. DEBIT CREDIT BALANCE 20-- Aug. 3 J60 3,816.00 3,816.00 Aug. 18 J60 4,589.80 fill in the blank 1 J60 105.00 fill in the blank 2 ACCOUNTS RECEIVABLE LEDGER NAME: S. Rottier ADDRESS: 1008 S. 9TH St, Monona, WI 53715 DATE ITEM POST. REF. DEBIT CREDIT BALANCE 20-- Aug. 7 J60 1,484.00 1,484.00 Aug. 10 J60 400.00 fill in the blank 3 ACCOUNTS RECEIVABLE LEDGER NAME: L. Franklin ADDRESS: 2815 Main St, Cottage Grove, WI 53711 DATE ITEM POST. REF. DEBIT CREDIT BALANCE 20-- Aug. 1 J60 1,272.00 1,272.00 Aug. 22 J60 2,120.00 fill in the blank 4 Using the information from the ledgers, prepare a schedule of accounts receivable as of August 31. If required, round your intermediate and final answers to the nearest cent. Willis Spas and PoolsSchedule of Accounts ReceivableAugust 31, 20-- E. McKenzie $fill…BUS 038 : Business Computatns10. You purchase goods on an invoice dated July 27 with terms of 3/10 EOM. Determine (a) the last day of the discount period, and (b) the last day of the credit period.
- Create a Ledger for the Journal Entry General Journal Page 1 Date Description Post Ref. Dr Cr 2023 Mar. 2 Cash 750 Account Receivables 750 To record payment for AR 4 Cash 170 Account Receivables 170 To record payment for AR 6 Account Receivables 1755 Sales 1755 To record Sales 7 Account Receivables 620 Sales 620 To record Sales Cash 875 Sales 875 To record Sales Promotion 690 Cash 690 To record payment for promotion 8 Cash 215 Account Receivables 215 To record payment for AR Promotion 215 Cash 215 To record payment for promotion Purchase 2017 Cash 2017 To record purchase of tshirts w/df 9 Promotion 700 Cash 700 To record payment for promotion 10 Account…12 - CODE AND NAME OF THE ACCOUNT WILL BE DEBT 320 SELLERS HS 45.000101 CHECKS RECEIVED HS 45.000 Which of the following transactions belongs to the journal entry?A) Check collectionB) Sellers debt payment by check turnoverC) Issuing a checkD) Sellers pay debt by issuing checksE) Returning the CheckBUS 038 : Business Computatns4. You buy goods on an invoice dated October 28, with terms of 2/20, n/45. What is the last day of the discount period?
- BUS 038 : Business Computations9. You purchase goods on an invoice dated July 5 with terms of 4/15, n/45 ROG. If you receive the goods on July 23, calculate (a) the last day of the discount period, and (b) the last day of the credit period. b. Last day of credit period:QUESTION NO.16 The following information and particulars relate to Lahore branch for the year 2020-2021: >>>31-3-2020: Stock 50000; Debtors 70000; petty cash 250. >> 31-3-2021: 75000; Debtors 95000; petty cash 120. Goods costing 550000 was sold by branch @25% on cost. Cash sales amounted to 150000 and the rest credit sales. Branch receives all goods from head office. Branch spent30000 for salaries 12000 for rent and 8000 for petty expenses (all expenses remitted by head office). You are required to prepare Lahore branch in the books of head office for the year of 20-21.Continue using the journal and journalize the following transaction: Mar. 31. Paid cash to replenish the petty cash fund, $285.00. C225.
- BUS 038 : Business Computations10. You purchase goods on an invoice dated July 27 with terms of 3/10 EOM. Determine (a) the last day of the discount period, and (b) the last day of the credit period. 11. You purchase goods on an invoice dated February 5 of a leap year, with terms of 5/10-90X. Calculate the last day of the discount period. The discount period ends 100 days (10 + 90 = 100) after the date of the invoice. February 5 is day 36. 12. For terms of 6/10, n/30, what annual rate do you pay the supplier if you fail to pay the invoice at the end of the discount period?Problem 1: Cash January 1, 20XA P120,0001/15 Cash from cash sales P1,0002/02 Payment to supplies P22,0002/18 Collection of Accounts Receivable P20,0003/16 Payment of utility bills P7,8903/28 Cash from cash sales P1,5004/15 Payment to employees P35,0005/20 Collection of Accounts Receivable P34,0006/01 Acquisition of computers P60,0006/17 Cash from cash sales P5,6007/01 Rent payments P25,0007/17 Additional contribution from owner P75,0008/03 Payment to suppliers P16,7009/01 Proceeds from bank borrowing P150,00010/15 Collection of Accounts Receivable P13,00011/21 Collection of Accounts Receivable P44,60012/31 Loan Payment P18,76012/31 Interest payment P7,50012/31 Owner’s drawings P4,000 Requirements: Prepare the Statement of Cash Flows using the…JOURNAL Page 43 DATE DESCRIPTION POST. REF. DEBIT CREDIT 20-- Nov. 6 Payroll Cash 12 12,296.97 Cash 11 12,296.97 6 Administrative Salaries 51 2,307.69 Office Salaries 52 4,677.85 Sales Salaries 53 3,600.00 Plant Wages 54 4,898.00 FICA Taxes Payable - OASDI 20.1 959.99 FICA Taxes Payable - HI 20.2 224.53 Employees FIT Payable 24 902.00 Employees SIT Payable 25 475.37 Employees SUTA Payable 25.1 9.27 Employees CIT Payable 26 599.41 Union Dues Payable 28 16.00 Payroll Cash 12 12,296.97 6 Payroll Taxes 56 1,362.30 FICA Taxes Payable - OASDI 20.1 959.98 FICA Taxes Payable - HI 20.2 224.51 SUTA Taxes Payable - Employer 22 177.81 13 Payroll Cash 12 1,570.27 Cash 11 1,570.27 1. What is the total gross…