Transactions: May 1. Received cash from owner as an investment, $8,000.00. R1. 2. Paid cash for supplies, $150.00. C1. 3. Paid cash for rent, $450.00. C2. 4. Bought supplies on account from Archer Supplies, $850.00. M1. 5. Paid cash for electric bill, $123.00. C3. 8. Paid cash on account to Archer Supplies, $500.00. C4. 8. Received cash from sales, $490.00. T8. 8. Sold services on account to Zachary's Limos, $225.00. S1. 9. Paid cash for insurance, $600.00. C5. 10. Paid cash for repairs, $194.00. C6. 10. Received cash from sales, $238.00. T10. 11. Paid cash for miscellaneous expense, $20.00. C7. 11. Received cash from sales, $315.00. T11. 12. Received cash from sales, $450.00. T12. 15. Raid cash to owner as a withdrawal of equity for personal use, $2,000.00. C8. 15. Received cash from sales, $425.00. T15. 16. Paid cash for supplies, $550.00. C9. 17. Received cash on account from Zachary's Limos, $115.00. R2. 17. Bought supplies on account from OK Supplies, $300.00. M2. 17. Received cash from sales, $250.00. T17 19. Received cash from sales, $325.00. T19. 22. Bought supplies on account from OK Supplies, $30.00. M3. 22. Received cash from sales, $305.00. T22. 23. Sold services on account to Zachary's Limos, $291.00. S2. 24. Patd.cash for advertising, $75.00. C10. 24. Received cash from sales, $150.00. T24, 25. Received cash from sales, $385.00. T25. 26. Paid cash for supplies, $45.00. C11. 26. Received cash from sales, $150.00. T26. 29. Received cash on account from Zachary's Limos, $175.00. R3. 31. Paid cash to owner as withdrawal of equity, $2,250.00. C12. 31. Received cash from sales, $250.00. T31. structions: The journal for Sadie's Car Wash is given in the Working Papers. Use page 1 of the journal to journalize the transactions for May 1 through May 15. Source documents are abbreviates as follows: check, C; memorandum, M; receipt, R; sales invoice, S; calculator tape, T. Jse page 2 of the journal to journalize the transactions for the remainder of May.

Century 21 Accounting General Journal
11th Edition
ISBN:9781337680059
Author:Gilbertson
Publisher:Gilbertson
Chapter3: Journalizing Transactions
Section: Chapter Questions
Problem 3AP
icon
Related questions
icon
Concept explainers
Question
Transactions:
May 1. Received cash from owner as an investment, $8,000.00. R1.
2. Paid cash for supplies, $150.00. C1.
3. Paid cash for rent, $450.00. C2.
4. Bought supplies on account from Archer Supplies, $850.00. M1.
5. Paid cash for electric bill, $123.00. C3.
8. Paid cash on account to Archer Supplies, $500.00. C4.
8. Received cash from sales, $490.00. T8.
8. Sold services on account to Zachary's Limos, $225.00. S1.
9. Paid cash for insurance, $600.00. C5.
10. Paid cash for repairs, $194.00. C6.
10. Received cash from sales, $238.00. T10.
11. Paid cash for miscellaneous expense, $20.00. C7.
11. Received cash from sales, $315.00. T11.
12. Received cash from sales, $450.00. T12.
15. Raid cash to owner as a withdrawal of equity for personal use, $2,000.00. C8.
15. Received cash from sales, $425.00. T15.
16. Paid cash for supplies, $550.00. C9.
17. Received cash on account from Zachary's Limos, $115.00. R2.
17. Bought supplies on account from OK Supplies, $300.00. M2.
17. Received cash from sales, $250.00. T17
19. Received cash from sales, $325.00. T19.
22. Bought supplies on account from OK Supplies, $30.00. M3.
22. Received cash from sales, $305.00. T22.
23. Sold services on account to Zachary's Limos, $291.00. S2.
24. Patd.cash for advertising, $75.00. C10.
24. Received cash from sales, $150.00. T24,
25. Received cash from sales, $385.00. T25.
26. Paid cash for supplies, $45.00. C11.
26. Received cash from sales, $150.00. T26.
29. Received cash on account from Zachary's Limos, $175.00. R3.
31. Paid cash to owner as withdrawal of equity, $2,250.00. C12.
31. Received cash from sales, $250.00. T31.
structions:
The journal for Sadie's Car Wash is given in the Working Papers. Use page 1 of the journal to journalize
the transactions for May 1 through May 15. Source documents are abbreviates as follows: check, C;
memorandum, M; receipt, R; sales invoice, S; calculator tape, T.
Jse page 2 of the journal to journalize the transactions for the remainder of May.
Transcribed Image Text:Transactions: May 1. Received cash from owner as an investment, $8,000.00. R1. 2. Paid cash for supplies, $150.00. C1. 3. Paid cash for rent, $450.00. C2. 4. Bought supplies on account from Archer Supplies, $850.00. M1. 5. Paid cash for electric bill, $123.00. C3. 8. Paid cash on account to Archer Supplies, $500.00. C4. 8. Received cash from sales, $490.00. T8. 8. Sold services on account to Zachary's Limos, $225.00. S1. 9. Paid cash for insurance, $600.00. C5. 10. Paid cash for repairs, $194.00. C6. 10. Received cash from sales, $238.00. T10. 11. Paid cash for miscellaneous expense, $20.00. C7. 11. Received cash from sales, $315.00. T11. 12. Received cash from sales, $450.00. T12. 15. Raid cash to owner as a withdrawal of equity for personal use, $2,000.00. C8. 15. Received cash from sales, $425.00. T15. 16. Paid cash for supplies, $550.00. C9. 17. Received cash on account from Zachary's Limos, $115.00. R2. 17. Bought supplies on account from OK Supplies, $300.00. M2. 17. Received cash from sales, $250.00. T17 19. Received cash from sales, $325.00. T19. 22. Bought supplies on account from OK Supplies, $30.00. M3. 22. Received cash from sales, $305.00. T22. 23. Sold services on account to Zachary's Limos, $291.00. S2. 24. Patd.cash for advertising, $75.00. C10. 24. Received cash from sales, $150.00. T24, 25. Received cash from sales, $385.00. T25. 26. Paid cash for supplies, $45.00. C11. 26. Received cash from sales, $150.00. T26. 29. Received cash on account from Zachary's Limos, $175.00. R3. 31. Paid cash to owner as withdrawal of equity, $2,250.00. C12. 31. Received cash from sales, $250.00. T31. structions: The journal for Sadie's Car Wash is given in the Working Papers. Use page 1 of the journal to journalize the transactions for May 1 through May 15. Source documents are abbreviates as follows: check, C; memorandum, M; receipt, R; sales invoice, S; calculator tape, T. Jse page 2 of the journal to journalize the transactions for the remainder of May.
Expert Solution
trending now

Trending now

This is a popular solution!

steps

Step by step

Solved in 2 steps

Blurred answer
Knowledge Booster
Completing the Accounting Cycle
Learn more about
Need a deep-dive on the concept behind this application? Look no further. Learn more about this topic, accounting and related others by exploring similar questions and additional content below.
Similar questions
  • SEE MORE QUESTIONS
Recommended textbooks for you
Century 21 Accounting General Journal
Century 21 Accounting General Journal
Accounting
ISBN:
9781337680059
Author:
Gilbertson
Publisher:
Cengage
College Accounting (Book Only): A Career Approach
College Accounting (Book Only): A Career Approach
Accounting
ISBN:
9781337280570
Author:
Scott, Cathy J.
Publisher:
South-Western College Pub
College Accounting, Chapters 1-27
College Accounting, Chapters 1-27
Accounting
ISBN:
9781337794756
Author:
HEINTZ, James A.
Publisher:
Cengage Learning,
College Accounting (Book Only): A Career Approach
College Accounting (Book Only): A Career Approach
Accounting
ISBN:
9781305084087
Author:
Cathy J. Scott
Publisher:
Cengage Learning
Survey of Accounting (Accounting I)
Survey of Accounting (Accounting I)
Accounting
ISBN:
9781305961883
Author:
Carl Warren
Publisher:
Cengage Learning
Financial And Managerial Accounting
Financial And Managerial Accounting
Accounting
ISBN:
9781337902663
Author:
WARREN, Carl S.
Publisher:
Cengage Learning,