
Fundamental Accounting Principles 22th Edition by John Wild ,Ken Shaw,Barbara Chiappetta
Edition 22ISBN: 978-0077862275
Fundamental Accounting Principles 22th Edition by John Wild ,Ken Shaw,Barbara Chiappetta
Edition 22ISBN: 978-0077862275 Exercise 41
(This serial problem began in Chapter 1 and continues through most of the book. If previous chapter segments were not completed, the serial problem can begin at this point. It is helpful, but not necessary, to use the Working Papers that accompany the book.)
Assume that Santana Rey expands Business Solutions' accounting system to include special journals.
Required
1. Locate the transactions related to January through March 2016 for Business Solutions in Chapter 5.
2. Enter the Business Solutions transactions for January through March in a sales journal like that in Exhibit 7.5 (insert "n/a" in the Invoice column), a cash receipts journal like that in Exhibit 7.7, a purchases journal like that in Exhibit 7.9 (use Computer Supplies heading instead of Office Supplies), and a cash disbursements journal like that in Exhibit 7.11 (insert "n/a" in the Check Number column), or a general journal. Number journal pages as page 2. If the transaction does not specify the name of the payee, state "not specified" in the Payee column of the cash disbursements journal.
3. The transactions on the following dates should be journalized in the general journal: January 5, 11, 20, 24, and 29 (no entry required) and March 24. Do not record and post the adjusting entries for the end of March.
Reference: Exhibit 7.5
Exhibit 7.9
Exhibit 7.7
Exhibit 7.11

Assume that Santana Rey expands Business Solutions' accounting system to include special journals.
Required
1. Locate the transactions related to January through March 2016 for Business Solutions in Chapter 5.
2. Enter the Business Solutions transactions for January through March in a sales journal like that in Exhibit 7.5 (insert "n/a" in the Invoice column), a cash receipts journal like that in Exhibit 7.7, a purchases journal like that in Exhibit 7.9 (use Computer Supplies heading instead of Office Supplies), and a cash disbursements journal like that in Exhibit 7.11 (insert "n/a" in the Check Number column), or a general journal. Number journal pages as page 2. If the transaction does not specify the name of the payee, state "not specified" in the Payee column of the cash disbursements journal.
3. The transactions on the following dates should be journalized in the general journal: January 5, 11, 20, 24, and 29 (no entry required) and March 24. Do not record and post the adjusting entries for the end of March.
Reference: Exhibit 7.5

Exhibit 7.9

Exhibit 7.7

Exhibit 7.11

Explanation
Journal entries:
Journal entry records ...
Fundamental Accounting Principles 22th Edition by John Wild ,Ken Shaw,Barbara Chiappetta
Why don’t you like this exercise?
Other Minimum 8 character and maximum 255 character
Character 255