ACCOUTING PRIN SET LL INCLUSIVE
ACCOUTING PRIN SET LL INCLUSIVE
14th Edition
ISBN: 9781119815327
Author: Weygandt
Publisher: WILEY
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Below are the transactions for Salukis Car Cleaning for June, the first month of operations. June 1 Obtain a loan of $70,000 from the bank by signing a note. June 2 Issue common stock in exchange for cash of $40,000. June 7 Purchase car wash equipment for $75,000 cash. June 10 Purchase cleaning supplies of $8,000 on account. June 12 Wash 500 cars for $10 each. All customers pay cash. June 16 Pay employees $900 for work performed. June 19 Pay for advertising in a local newspaper, costing $500. June 23 Wash 600 cars for $10 each on account. June 29 Pay employees $950 for work performed. June 30 A utility bill of $1,400 for the current month is paid. June 30 Pay dividends of $600 to stockholders. Required: 1. Record each transaction. 2. Post each transaction to the appropriate T-accounts. 3. Calculate the balance of each account. 4. Prepare a trial balance for June. Salukis uses the following accounts: Cash, Accounts Receivable, Supplies, Equipment, Accounts Payable, Notes Payable, Common…
The following transactions took place at the Cook Employment Agency during November 20X1. DATE TRANSACTIONS Nov. 5 Performed services for Job Search, Inc., for $31,000; received $14,500 in cash and the client promised to pay the balance in 60 days. 18 Purchased a graphing calculator for $380 and some supplies for $530 from Office Supply; issued Check 1008 for the total. 23 Received Invoice 1602 for $1,650 from Automotive Technicians Repair for repairs to the firm's automobile; issued Check 1009 for half the amount and arranged to pay the other half in 30 days. Prepare journal entries for the above transactions. View transaction list Journal entry worksheet < 1 2 Received Invoice 1602 for $1,650 from Automotive Technicians Repair for repairs to the firm's automobile; issued Check 1009 for half the amount and arranged to pay the other half in 30 days. Date Nov 23, 20X1 3 Note: Enter debits before credits. Record entry General Journal Clear entry Debit Credit View general journal
Elijah started the month with cash at bank of $1,780. What was the balance carried forward after accounting for the following transactions in June? (1) Elijah withdrew $200 per week to cover living expenses. (2) A customer paid for goods with a list price of $600, less trade discount of 5%. (3) An amount of $400 was received from a credit customer. (4) Bankings of $1,200 from canteen vending machines.
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