Tutorial 3 (Part 3) Submission date: 14 December 2020 before 12.00pm 1. Record the following transaction in the appropriate journal, ledger accounts and balance off the accounts at 30 September 2020. Sept 3 Bought goods on credit for RM846 from Labu Enterprise Sold goods for cash of RM73 Bought motor vehicle by cheque for RM4,300 Sold goods to Karas Sdn Bhd on credit for RM380 13 7 11 Karas Sdn Bhd returned goods to Labu Enterprise worth RM143 Returned goods to Labu Enterprise worth RM83 20 17 Received cheque for RM60 from Karas Sdn Bhd on acount Bought office furniture by cheque for RM365 Sent cheque to Labu Enterprise in settlement of account Sold goods to Sakun Enterprise on credit fro RM412 24 27 29

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Chapter2: Basic Accounting Systems: Cash Basis
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Tutorial 3 (Part 3).pdf
Tutorial 3 (Part 3)
Submission date: 14 December 2020 before 12.00pm
1. Record the following transaction in the appropriate journal, ledger accounts and
balance off the accounts at 30 September 2020.
Sept 3 Bought goods on credit for RM846 from Labu Enterprise
Sold goods for cash of RM73
Bought motor vehicle by cheque for RM4,300
Sold goods to Karas Sdn Bhd on credit for RM380
Karas Sdn Bhd returned goods to Labu Enterprise worth RM143
Returned goods to Labu Enterprise worth RM83
20
6
7
11
13
17
Received cheque for RM60 from Karas Sdn Bhd on acount
Bought office furniture by cheque for RM365
Sent cheque to Labu Enterprise in settlement of account
29
24
27
Sold goods to Sakun Enterprise on credit fro RM412
2. Below are the transactions for the month of October 2020 of Mrs Rose, a sole
trader:
2 Bought goods from Siti Enterprise on credit for RM480
6 Sold goods on credit to Kiki Enterprise for RM215
9Returned good to Siti Enterprise that had cost RM62
12 Bought goods from Hasif Enterprise on credit for RM390
15 Kiki Enterprise returned goods which she had bought on 6 Oct for RM45
18 Returned goods to Hasif Enterprise that has cost RM65
20 Received cheque for RM80 from Kiki Enterprise in part payment
21 Sold goods to Mimi Enterprise on credit for RM535
23 Sent cheque for RM418 to Siti Enterprise
26 Mimi Enterprise returned goods that she had bought on 21 Oct for RM90
27 Sold goods to Kiki Enterprise on credit for RM383
29 Received cheque for RM70 from Mimi Enterprise
Oct
Required:
а.
Record all the transaction in the general journal
Record the transaction in the appropriate ledger accounts and balance all the
b.
асcount
С.
Prepare the trial balance as at 30 October 2020
Prepared by: Puan Siti Nor Junita Mohd Radzi
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Transcribed Image Text:%07 l. * Tutorial 3 (Part 3).pdf Tutorial 3 (Part 3) Submission date: 14 December 2020 before 12.00pm 1. Record the following transaction in the appropriate journal, ledger accounts and balance off the accounts at 30 September 2020. Sept 3 Bought goods on credit for RM846 from Labu Enterprise Sold goods for cash of RM73 Bought motor vehicle by cheque for RM4,300 Sold goods to Karas Sdn Bhd on credit for RM380 Karas Sdn Bhd returned goods to Labu Enterprise worth RM143 Returned goods to Labu Enterprise worth RM83 20 6 7 11 13 17 Received cheque for RM60 from Karas Sdn Bhd on acount Bought office furniture by cheque for RM365 Sent cheque to Labu Enterprise in settlement of account 29 24 27 Sold goods to Sakun Enterprise on credit fro RM412 2. Below are the transactions for the month of October 2020 of Mrs Rose, a sole trader: 2 Bought goods from Siti Enterprise on credit for RM480 6 Sold goods on credit to Kiki Enterprise for RM215 9Returned good to Siti Enterprise that had cost RM62 12 Bought goods from Hasif Enterprise on credit for RM390 15 Kiki Enterprise returned goods which she had bought on 6 Oct for RM45 18 Returned goods to Hasif Enterprise that has cost RM65 20 Received cheque for RM80 from Kiki Enterprise in part payment 21 Sold goods to Mimi Enterprise on credit for RM535 23 Sent cheque for RM418 to Siti Enterprise 26 Mimi Enterprise returned goods that she had bought on 21 Oct for RM90 27 Sold goods to Kiki Enterprise on credit for RM383 29 Received cheque for RM70 from Mimi Enterprise Oct Required: а. Record all the transaction in the general journal Record the transaction in the appropriate ledger accounts and balance all the b. асcount С. Prepare the trial balance as at 30 October 2020 Prepared by: Puan Siti Nor Junita Mohd Radzi <>
3. Record the following transactions for the month of August 2020 in the general
journal and post to the appropriate ledger account and balance all the accounts
the prepare the trial balance as 31 August 2020.
Aug 1 Chandra commenced business with RM12,000 in cash
2 Transferred RM11,000 in cash into a bank account
5 Purchased goods from Siva on credit for RM830
9 Bought office furniture for RM250 in cash
12 Sold goods to Willy on credit for RM570
14 Returned goods worth RM75 to Siva
16 Paid rent by cheque for RM350
18 Purchased office stationery for RM30 in cash
21 Chandra made drawings in cash for RM140
24 Paid insurance by cheque for RM170
25 Sold goods to Willy on credit for RM490
28 Purchased goods from Siva on credit for RM560
30 Sent cheque to Siva for RM755
Prepared by: Puan Siti Nor Junita Mohd Radzi
Transcribed Image Text:3. Record the following transactions for the month of August 2020 in the general journal and post to the appropriate ledger account and balance all the accounts the prepare the trial balance as 31 August 2020. Aug 1 Chandra commenced business with RM12,000 in cash 2 Transferred RM11,000 in cash into a bank account 5 Purchased goods from Siva on credit for RM830 9 Bought office furniture for RM250 in cash 12 Sold goods to Willy on credit for RM570 14 Returned goods worth RM75 to Siva 16 Paid rent by cheque for RM350 18 Purchased office stationery for RM30 in cash 21 Chandra made drawings in cash for RM140 24 Paid insurance by cheque for RM170 25 Sold goods to Willy on credit for RM490 28 Purchased goods from Siva on credit for RM560 30 Sent cheque to Siva for RM755 Prepared by: Puan Siti Nor Junita Mohd Radzi
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