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Renton CoUses Special Journals to Record Its Transactions Record These Transactions in the Following Journals

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Renton Co.uses special journals to record its transactions.They use the perpetual inventory system.Shown below are the purchasing and cash disbursement transactions for current month of May:
 May 1 Purchased merchandise for cash from Zillah Co. $5,400, check no. 11332 Purchased office equipment from Echo Co. on credit, $7,200, terms n/60. Invoice  dated May 1. 6 Paid Fox, Inc., $4,900 cash for previous purchases on account, which is net of a $100 discount, check no. 1134.9 Purchased merchandise from Inca, Inc. on credit, terms 1/15,n/30,$24,600. Invoice  dated May 8. 10 Paid Echo Co. cash for May 2 purchase, Check No. 1135.18 Purchased office supplies on credit $230, terms net EOM from Howe, Inc, , invoice  dated May 18\begin{array} { | l | l | l | } \hline \text { May } & 1 & \text { Purchased merchandise for cash from Zillah Co. } \$ 5,400 \text {, check no. } 1133 \text {. } \\\hline & 2 & \begin{array} { l } \text { Purchased office equipment from Echo Co. on credit, } \$ 7,200 \text {, terms } \mathrm{n} / 60 \text {. Invoice } \\\text { dated May 1. }\end{array} \\\hline &6 & \begin{array} { l } \text { Paid Fox, Inc., } \$ 4,900 \text { cash for previous purchases on account, which is net of a } \\\$ 100 \text { discount, check no. } 1134.\end{array} \\\hline & 9 & \begin{array} { l } \text { Purchased merchandise from Inca, Inc. on credit, terms } 1 / 15, \mathrm{n} / 30, \$ 24,600 \text {. Invoice }\\\text { dated May 8. }\end{array} \\\hline & 10 & \text { Paid Echo Co. cash for May } 2 \text { purchase, Check No. } 1135 .\\\hline &18 & \begin{array} { l } \text { Purchased office supplies on credit } \$ 230 \text {, terms net EOM from Howe, Inc, , invoice }\\\text { dated May } 18\end{array} \\\hline\end{array}
Record these transactions in the following journals:
 Purchases Journal  Date  Account  Date of  Invoice  Terms  PR  Accounts  Payable  Cr.  Inventory  Dr.  Office  Supplies  Dr.  Other  Accounts  Dr \begin{array}{l}\text { Purchases Journal }\\\begin{array} { | l | l | l | l | l | l | l | l | l | } \hline \text { Date } & \text { Account } & \begin{array} { l } \text { Date of } \\\text { Invoice }\end{array} & \text { Terms } & \text { PR } & \begin{array} { l } \text { Accounts } \\\text { Payable } \\\text { Cr. }\end{array} & \begin{array} { l } \text { Inventory } \\\text { Dr. }\end{array} & \begin{array} { l } \text { Office } \\\text { Supplies } \\\text { Dr. }\end{array} & \begin{array} { l } \text { Other } \\\text { Accounts } \\\text { Dr }\end{array} \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline\end{array}\end{array}
 Cash Disbursements Journal  Date  Ck.  No.  Payee  Account  Debited  PR  Cash  Cr.  Irventory  Cr.  Other  Accounts  Dr.  Accounts  Payable  Dr. \begin{array}{l}\text { Cash Disbursements Journal }\\\begin{array} { | l | l | l | l | l | l | l | l | l | } \hline \text { Date } & \begin{array} { l } \text { Ck. } \\\text { No. }\end{array} & \text { Payee } & \begin{array} { l } \text { Account } \\\text { Debited }\end{array} & \text { PR } & \begin{array} { l } \text { Cash } \\\text { Cr. }\end{array} & \begin{array} { l } \text { Irventory } \\\text { Cr. }\end{array} & \begin{array} { l } \text { Other }\\\text { Accounts } \\\text { Dr. }\end{array} & \begin{array} { l } \text { Accounts } \\\text { Payable } \\\text { Dr. }\end{array} \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline\end{array}\end{array}

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