Purchases, Accounts Payable Subsidiary Account, and Accounts Payable Ledger Sterting Forest Landscaping designs and installs landscaping. The landscape designers and office staff use office supplies, while field supplies (rock, bark, etc.) are used in the actual landscaping. Purcheses on account completed by Sterling Forest Landscaping during October are as follows: Oct. 2. Purchased office supplies on account from Meade Co., $3,080. 5. Purchased office equipment on account from Peach Computers Co., $4,430. 9. Purchased office supplies on account from Executive Ofice Supply Co., $320. 13. Purchased field supplies on account from Yamura Co., $3,510. 14. Purchased field supplies on account from Omni Co., $460. 17. Purchased field supplies on account from Yamura Co., $8,350. 24. Purchased field supplies on account from Omni Co., $2,350. 29. Purchased office supplies on account from Executive Office Supply Co., $210. 31. Purchased field supplies on account from Omni Co., $3,080. Note: Posting references have been provided. Required: 1. Insert the following balances in the general ledger as of October 15 14 Field Supplies $6,280 15 Office Supplies 1,440 18 office Equipment 21,170 21 Accounts Payable 5,390 After completing the recording of transactions in part 3, post the purchases journal to the accounts in the general ledger. Ifr an amount box does not require an entry, leave it blank GENERAL LEDGER Balance Date Post . Debit Credit Cr. Item Dr. Ref. Account: Field Supplies 14 oct. 1 Balance 6,280 Oct. 31 Account: Office Supplies #15 P30 oct. 1 Balance 1,440 Oct 31 P30 Account: Offce Equipment a18 Oct. 1 Balance 21,17 4,430 Oct. 5 Account: Accounts Payable 21 P30 5,390 Oct. 1 Balance Oct. 31 P30 as of October 1

Century 21 Accounting Multicolumn Journal
11th Edition
ISBN:9781337679503
Author:Gilbertson
Publisher:Gilbertson
Chapter11: Accounting For Transactions Using A General Journal
Section: Chapter Questions
Problem 1AP
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I've included the answer to part three, so you should be able to fill in the general ledger this time. 

Purchases, Accounts Payable Subsidiary Account, and Accounts Payable Ledger
Sterling Forest Landscaping designs and installs landscaping. The landscape designers and office staff use office supplies, while field supplies (rock, bark, etc.) are used in the actual landscaping. Purchases on account completed by Sterling Forest Landscaping during October are as follows:
Oct. 2. Purchased office supplies on account from Meade Co., $3,080.
5. Purchased office equipment on account from Peach Computers Co., $4,430.
9. Purchased office supplies on account from Executive Office Supply Co., $320.
13. Purchased field supplies on account from Yamura Co., $3,510.
14.
Purchased field supplies on account from Omni Co., $460.
17.
Purchased field supplies on account from Yamura Co., $8,350.
24. Purchased field supplies on account from Omni Co., $2,350.
29. Purchased office supplies on account from Executive Office Supply Co., $210.
31. Purchased field supplies on account from Omni Co., $3,080.
Note: Posting references have been provided.
Required:
1. Insert the following balances in the general ledger as of October 1:
14 Field Supplies
$6,280
15 Office Supplies
1,440
18 Office Equipment
21,170
21 Accounts Payable
5,390
After completing the recording of transactions in part 3, post the purchases journal to the accounts in the general ledger. If an amount box does not require an entry, leave it blank.
GENERAL LEDGER
Balance
Post.
Date
Item
Debit
Credit
Dr.
Cr.
Ref.
Account: Field Supplies #14
Oct. 1
Balance
6,280 v
olv
Oct, 31
Р30
Account: Office Supplies #15
Oct. 1
Balance
1,440 v
Oct. 31
P30
Account: Office Equipment #18
Oct. 1
Balance
21,17
Oct. 5
P30
4,430
Account: Accounts Payable #21
5,390
Oct. 1
Balance
Oct. 31
P30
2. Insert the following balances in the accounts payable subsidiary ledger as of October 1:
Next
Previous
Transcribed Image Text:Purchases, Accounts Payable Subsidiary Account, and Accounts Payable Ledger Sterling Forest Landscaping designs and installs landscaping. The landscape designers and office staff use office supplies, while field supplies (rock, bark, etc.) are used in the actual landscaping. Purchases on account completed by Sterling Forest Landscaping during October are as follows: Oct. 2. Purchased office supplies on account from Meade Co., $3,080. 5. Purchased office equipment on account from Peach Computers Co., $4,430. 9. Purchased office supplies on account from Executive Office Supply Co., $320. 13. Purchased field supplies on account from Yamura Co., $3,510. 14. Purchased field supplies on account from Omni Co., $460. 17. Purchased field supplies on account from Yamura Co., $8,350. 24. Purchased field supplies on account from Omni Co., $2,350. 29. Purchased office supplies on account from Executive Office Supply Co., $210. 31. Purchased field supplies on account from Omni Co., $3,080. Note: Posting references have been provided. Required: 1. Insert the following balances in the general ledger as of October 1: 14 Field Supplies $6,280 15 Office Supplies 1,440 18 Office Equipment 21,170 21 Accounts Payable 5,390 After completing the recording of transactions in part 3, post the purchases journal to the accounts in the general ledger. If an amount box does not require an entry, leave it blank. GENERAL LEDGER Balance Post. Date Item Debit Credit Dr. Cr. Ref. Account: Field Supplies #14 Oct. 1 Balance 6,280 v olv Oct, 31 Р30 Account: Office Supplies #15 Oct. 1 Balance 1,440 v Oct. 31 P30 Account: Office Equipment #18 Oct. 1 Balance 21,17 Oct. 5 P30 4,430 Account: Accounts Payable #21 5,390 Oct. 1 Balance Oct. 31 P30 2. Insert the following balances in the accounts payable subsidiary ledger as of October 1: Next Previous
3. Journalize the transactions for October (in chronological order), using the purchases journal below (p. 30) similar to the one illustrated in this chapter. Post to the creditor accounts in the accounts payable subsidiary ledger (in part 2) immediately after each entry.
4. Post the purchases journal to the accounts in the general ledger (in part 1). If an amount box does not require an entry, leave it blank.
If no other account is needed in the "Other Accounts Dr." column select "No entry required".
PURCHASES JOURNAL
PAGE 30
Date
Account Credited
Post.
Accounts
Field Supplies
Office
Ref.
Payable Cr.
Dr.
Supplies Dr.
Other Accounts Dr. Post. Ref.
Amount
Oct.
Meade Co.
3,080
3,080
No Entry Requir
Oct.
Peach Computers
4,430
Office Equipme
18
4,430
Oct.
Executive Office Supp
320
320 v
No Entry Requir
Oct.
13
Yamura Co v
3,510
3,510
No Entry Requir
Oct.
14
Omni Co.
460
460 v
No Entry Requir
Oct.
Yamura Co
8,350
8,350
No Entry Requir
17
Oct.
24
Omni Co. v
2,350
2,350
No Entry Requir
Oct.
29
Executive Office Supp
210
210
No Entry Requir
Oct.
31
Omni Co.
3,080
3,080
No Entry Requir
Oct.
31
25,79
17,75
3,610
4,430
21 )
14 )
15 )
(v)
5.
Transcribed Image Text:3. Journalize the transactions for October (in chronological order), using the purchases journal below (p. 30) similar to the one illustrated in this chapter. Post to the creditor accounts in the accounts payable subsidiary ledger (in part 2) immediately after each entry. 4. Post the purchases journal to the accounts in the general ledger (in part 1). If an amount box does not require an entry, leave it blank. If no other account is needed in the "Other Accounts Dr." column select "No entry required". PURCHASES JOURNAL PAGE 30 Date Account Credited Post. Accounts Field Supplies Office Ref. Payable Cr. Dr. Supplies Dr. Other Accounts Dr. Post. Ref. Amount Oct. Meade Co. 3,080 3,080 No Entry Requir Oct. Peach Computers 4,430 Office Equipme 18 4,430 Oct. Executive Office Supp 320 320 v No Entry Requir Oct. 13 Yamura Co v 3,510 3,510 No Entry Requir Oct. 14 Omni Co. 460 460 v No Entry Requir Oct. Yamura Co 8,350 8,350 No Entry Requir 17 Oct. 24 Omni Co. v 2,350 2,350 No Entry Requir Oct. 29 Executive Office Supp 210 210 No Entry Requir Oct. 31 Omni Co. 3,080 3,080 No Entry Requir Oct. 31 25,79 17,75 3,610 4,430 21 ) 14 ) 15 ) (v) 5.
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