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The Woodview Company Uses a Sales Journal,purchases Journal,cash Receipts Journal,cash

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The Woodview Company uses a sales journal,purchases journal,cash receipts journal,cash disbursements journal,and general journal.They use the perpetual method.The following transactions occurred during the current month of December:
 Dec. 4 Sold merchandise on credit for $3,300 to the A&B Co., invoice no. 313. The cost of  the goods sold is $2,1458 Purchased merchandise on credit for $1,800 from the Dexter Co., temms 2/10,n/30 Invoice dated December 8.10 Sold merchandise for $500 cash to RAC Corp., invoice no. 314. The cost of the  goods sold is $32013 Collected $3,300 cash from the A&B Co. for merchandise sold on December 4.17 Paid amount owed to Dexter Co. from December 8 purchase, check no. 1011.24 Sold merchandise on credit for $4,500 to Dunn Corp., invoice no. 315. The cost of  goods sold is $2,92527 Paid $400 cash for monthly rent to Dayton Properties, check no. 101231 Purchased equipment for $3,055 from Fort Corp., check no. 1013\begin{array}{|l|l|l|}\hline\text { Dec. }&4&\text { Sold merchandise on credit for } \$ 3,300 \text { to the A\&B Co., invoice no. 313. The cost of }\\&&\text { the goods sold is } \$ 2,145 \text {. }\\\hline&8&\text { Purchased merchandise on credit for } \$ 1,800 \text { from the Dexter Co., temms } 2 / 10, \text{n} / 30\\&&\text { Invoice dated December } 8.\\\hline&10&\text { Sold merchandise for } \$ 500 \text { cash to RAC Corp., invoice no. 314. The cost of the }\\&&\text { goods sold is } \$ 320\\\hline&13&\text { Collected } \$ 3,300 \text { cash from the A\&B Co. for merchandise sold on December } 4 .\\\hline&17&\text { Paid amount owed to Dexter Co. from December } 8 \text { purchase, check no. } 1011 .\\\hline&24&\text { Sold merchandise on credit for } \$ 4,500 \text { to Dunn Corp., invoice no. } 315 \text {. The cost of }\\&&\text { goods sold is } \$ 2,925 \text {. }\\\hline&27&\text { Paid } \$ 400 \text { cash for monthly rent to Dayton Properties, check no. } 1012 \text {. }\\\hline&31&\text { Purchased equipment for } \$ 3,055 \text { from Fort Corp., check no. } 1013 \text {. }\\\hline\end{array}
Record the above transactions into the appropriate journals shown below:
Sales Journal\mathbf{Sales~ Journal}
Page 15\mathbf{Page ~15}
Account Invoice Accounts Receivable Cost of Goods Sold Dr:  Date  Debited  Number PRDr/SalesCr. / Inventory Cr.\begin{array}{|l|l|l|l|l|l|}\hline & \text {Account } & \text {Invoice } & & \text {Accounts Receivable } & \text {Cost of Goods Sold Dr: }\\\text { Date } & \text { Debited } & \text { Number } & \mathrm{PR} & \mathrm{Dr} / \mathrm{Sales} \mathrm{Cr.} & \text { / Inventory } \mathrm{Cr.}\\\hline\\\hline\\\hline\\\hline\\\hline\\\hline\end{array}
Purchases Journal\mathbf{Purchases~ Journal}
Page 20\mathbf{Page ~20}
Office Other Date ofAccounts Inventory Supplies Accounts  Date  AccountInvoice PRPayable Cr. Dr.Dr.Dr.\begin{array}{|l|l|l|l|l|l|l|l|}\hline &&&&&&\text {Office } & \text {Other }\\& & \text {Date of} & & \text {Accounts } & \text {Inventory }& \text {Supplies }& \text {Accounts }\\\text { Date } & \text { Account} & \text {Invoice } & \mathrm{PR} &\text {Payable Cr. }&\text{Dr.}&\text{Dr.}&\text{Dr.}\\\hline\\\hline\\\hline\\\hline\\\hline\\\hline\end{array}
Sales Journal\mathbf{Sales~ Journal}
Page 15\mathbf{Page ~15}
 Cost of Goods Sales  Accounts  Other  Sold Dr. Account  Cash Discount  Discount  Sales  Accounts  Inventory  Date  Credited  Explanation PR Dr.Dr. Dr. Cr. Dr. Cr.\begin{array}{|l|l|l|l|l|l|l|l|l|l|}\hline&&&&&&&&&\text { Cost of}\\&&&&&&&&&\text { Goods}\\&&&&&\text { Sales } & \text { Accounts }& & \text { Other } & \text { Sold Dr. }\\ & \text {Account }&&&\text { Cash}&\text { Discount } &\text { Discount } & \text { Sales } & \text { Accounts } & \text { Inventory }\\\text { Date } & \text { Credited } & \text { Explanation } & \mathrm{ PR} & \text{ Dr.}& \text{Dr.}& \text{ Dr.}& \text{ Cr.}& \text{ Dr.}& \text{ Cr.}\\\hline\\\hline\\\hline\\\hline\\\hline\\\hline\end{array}
Cash Disbursements Journal Page 22Other AccountsCk.AccountInventoryAccountsPayableDateNo.PayeeDebitedPRCash Cr.Cr.Dr.Dr.\begin{array}{ll} \text {Cash Disbursements Journal }\\\text{Page 22}\\\begin{array} { | l | l | l | l | l | l | l | l | l | } \hline && & &&&& \text{Other }&\text{Accounts}\\& \text{Ck.} && \text{Account}&&& \text{Inventory}& \text{Accounts}&\text{Payable}\\\text{Date} &\text{No.} & \text{Payee} & \text{Debited} &\text{PR} & \text{Cash Cr}. &\text{Cr.}&\text{Dr.} & \text{Dr.}\\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline\end{array}\end{array}\\

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