Question 4 Westin Supply sold store supplies on account to Kayla's Gift Shop for $256 and Kayla's Gift Shop recorded the transaction as shown above. What would be the correct posting of this General Journal Entry shown in Figure 3.03 L to the General Ledger? GENERAL JOURNAL Page 33 Doc POST. GENERAL DATE ACCOUNT TITLE NO REF. DEBIT CREDIT Jun 9 Supplies -Store M44 1150 256.00 Accts. Pay./Westin Supply 256.00 Figure 3.03 L O Debit Supplies-Store $256; credit Accounts Payable/Westin Supply, $256 O Debit Supplies-Store $256; credit Accounts Payable-Controlling Account, $256 and credit Accounts Payable/Westin Supply, $256 O Debit Accounts Payable-Controlling Account, $256; credit Accounts Payable/ Westin Supply, $256 O Debit Accounts Payable/ Westin Supply, $256; credit Supplies-Store $256

Century 21 Accounting Multicolumn Journal
11th Edition
ISBN:9781337679503
Author:Gilbertson
Publisher:Gilbertson
Chapter11: Accounting For Transactions Using A General Journal
Section11.2: Recording Sales Transactions Using A General Journal
Problem 1WT
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O Credit
Question 4
Westin Supply sold store supplies on account to Kayla's Gift Shop for $256 and Kayla's
Gift Shop recorded the transaction as shown above. What would be the correct
posting of this General Journal Entry shown in Figure 3.03 L to the General Ledger?
GENERAL JOURNAL
Page 33
Doc
POST.
GENERAL
DATE
ACCOUNT TITLE
NO
REF.
DEBIT
CREDIT
1 Jun
9 Supplies -Store
Accts. Pay.Westin Supply
M44
1150
256.00
2
256.00
Figure 3.03 L
O Debit Supplies-Store $256; credit Accounts Payable/Westin Supply, $256
O Debit Supplies-Store $256; credit Accounts Payable-Controlling Account, $256 and credit
Accounts Payable/Westin Supply, $256
O Debit Accounts Payable-Controlling Account, $256; credit Accounts Payable/ Westin Supply,
$256
O Debit Accounts Payable/ Westin Supply, $256; credit Supplies-Store $256
Transcribed Image Text:O Credit Question 4 Westin Supply sold store supplies on account to Kayla's Gift Shop for $256 and Kayla's Gift Shop recorded the transaction as shown above. What would be the correct posting of this General Journal Entry shown in Figure 3.03 L to the General Ledger? GENERAL JOURNAL Page 33 Doc POST. GENERAL DATE ACCOUNT TITLE NO REF. DEBIT CREDIT 1 Jun 9 Supplies -Store Accts. Pay.Westin Supply M44 1150 256.00 2 256.00 Figure 3.03 L O Debit Supplies-Store $256; credit Accounts Payable/Westin Supply, $256 O Debit Supplies-Store $256; credit Accounts Payable-Controlling Account, $256 and credit Accounts Payable/Westin Supply, $256 O Debit Accounts Payable-Controlling Account, $256; credit Accounts Payable/ Westin Supply, $256 O Debit Accounts Payable/ Westin Supply, $256; credit Supplies-Store $256
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