Indicate the journal in which each of procceding transactions below: Recorded at Journal N Transactions Subsidiary Ledger |1 Issued Check No 1001 in payment for rent for June 2 | Issued Check No. 1002 in payment of freight charges on the supplies purchased 3 Provided Services on Account Purchased equipment on account Issued Check for withdrawal of cash for personal use Invested additional cash in the business Provided scrvices for cash Received cash from payment from invoice Received cash for office supplies sold to employees at cost 10 Journalized adjusting entries from the work sheet prepared 5 en4n 679

College Accounting, Chapters 1-27
23rd Edition
ISBN:9781337794756
Author:HEINTZ, James A.
Publisher:HEINTZ, James A.
Chapter12: Special Journals
Section: Chapter Questions
Problem 4CE: Enter the following transactions in a cash payments journal like the one illustrated in the chapter:...
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Indicate the journal in which each of procceding transactions below:
N
Transactions
Recorded at
Journal
Subsidiary Ledger
Issued Check No 1001 in payment for rent for June
Issued Check No. 1002 in payment of freight charges on the supplies
purchased
Provided Services on Account
Purchased equipment on account
3
4
5
Issued Check for withdrawal of cash for personal use
Invested additional cash in the business
Provided services for cash
Received cash from payment from invoice
9.
6
7
8
Received cash for office supplies sold to employees at cost
10 Journalized adjusting entries from the work sheet prepared
12
Transcribed Image Text:Indicate the journal in which each of procceding transactions below: N Transactions Recorded at Journal Subsidiary Ledger Issued Check No 1001 in payment for rent for June Issued Check No. 1002 in payment of freight charges on the supplies purchased Provided Services on Account Purchased equipment on account 3 4 5 Issued Check for withdrawal of cash for personal use Invested additional cash in the business Provided services for cash Received cash from payment from invoice 9. 6 7 8 Received cash for office supplies sold to employees at cost 10 Journalized adjusting entries from the work sheet prepared 12
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