The following transactions relates to Joshua Woods, a sole trader, during his first month of business: Date Transaction details 01-Sep Started business by investing $10,000 from personal savings into a business' bank account and Computer Equipment worth $7,500. 02-Sep Purchased furniture from LEO Ltd for $5,000 paying by cheque. 04-Sep Purchased goods for resale from BELL Ltd on credit for $3,100. 05-Sep Took $1,000 from the bank account for cash use. 07-Sep Purchased goods for resale on credit from Taylor for $2,800 08-Sep Credit sales to Adrian and Evans for $3,500 and $2,200 respectively. 09-Sep Cash sales $700 09-Sep Returned goods to BELL worth $350 11-Sep Cash sales $1,200. 11-Sep Purchased goods for resale from Jaime paying by cash $1,200 12-Sep Paid fuel expenses $1,100 by cash. 13-Sep Evans returned goods amounting to $650. 14-Sep Adrian paid $750 in cash to her account. 15-Sep Sold goods to Kris for $1,300 on credit. 16-Sep Purchased goods on credit from BELL for $1,350. 18-Sep Paid Taylor $1,600 on their account by cheque. 20-Sep Evans paid $800 on his account by cash. 21-Sep Took cash of $1,250 for personal use. 22-Sep Paid BELL Ltd $850 on their account by cheque. 25-Sep Received cash of $900 from Kris 26-Sep Paid electricity expenses of $695 by cash. 27-Sep Paid water expenses of $290 by cash. 28-Sep Paid telephone expenses $450 by cash. 29-Sep Cash sales of $950.     Required: Post to respective ledger and sub-ledger accounts Balance off ledger accounts and extract a Trial Balance

Principles of Accounting Volume 1
19th Edition
ISBN:9781947172685
Author:OpenStax
Publisher:OpenStax
Chapter8: Fraud, Internal Controls, And Cash
Section: Chapter Questions
Problem 3PA: Domingo Company started its business on January 1, 2019. The following transactions occurred during...
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The following transactions relates to Joshua Woods, a sole trader, during his first month of business:

Date

Transaction details

01-Sep

Started business by investing $10,000 from personal savings into a business' bank account and Computer Equipment worth $7,500.

02-Sep

Purchased furniture from LEO Ltd for $5,000 paying by cheque.

04-Sep

Purchased goods for resale from BELL Ltd on credit for $3,100.

05-Sep

Took $1,000 from the bank account for cash use.

07-Sep

Purchased goods for resale on credit from Taylor for $2,800

08-Sep

Credit sales to Adrian and Evans for $3,500 and $2,200 respectively.

09-Sep

Cash sales $700

09-Sep

Returned goods to BELL worth $350

11-Sep

Cash sales $1,200.

11-Sep

Purchased goods for resale from Jaime paying by cash $1,200

12-Sep

Paid fuel expenses $1,100 by cash.

13-Sep

Evans returned goods amounting to $650.

14-Sep

Adrian paid $750 in cash to her account.

15-Sep

Sold goods to Kris for $1,300 on credit.

16-Sep

Purchased goods on credit from BELL for $1,350.

18-Sep

Paid Taylor $1,600 on their account by cheque.

20-Sep

Evans paid $800 on his account by cash.

21-Sep

Took cash of $1,250 for personal use.

22-Sep

Paid BELL Ltd $850 on their account by cheque.

25-Sep

Received cash of $900 from Kris

26-Sep

Paid electricity expenses of $695 by cash.

27-Sep

Paid water expenses of $290 by cash.

28-Sep

Paid telephone expenses $450 by cash.

29-Sep

Cash sales of $950.

 

 

Required:

  1. Post to respective ledger and sub-ledger accounts
  2. Balance off ledger accounts and extract a Trial Balance
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