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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 periodic inventory method.The following transactions occurred during the month of December:
 Dec. 4 Sold merchandise on credit for $3,300 to the A&B Co., invoice no. 3138 Purchased merchandise on credit for $1,800 from the Dexter Co., terms 2/10,n/30 Invoice dated December 810 Sold merchandise for $500 cash to RAC Corp, invoice 31413 Collected $3,300 from the A&B Co. for merchandise sold on December 417 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. 31527 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 \text { Co., invoice no. } 313 \text {. }\\\hline&8&\text { Purchased merchandise on credit for } \$ 1,800 \text { from the Dexter Co., terms } 2 / 10, \text{n} / 30 \text {. }\\&&\text { Invoice dated December } 8 \text {. }\\\hline&10&\text { Sold merchandise for } \$ 500 \text { cash to RAC Corp, invoice } 314 \text {. }\\\hline&13&\text { Collected } \$ 3,300 \text { from the } A \& B \text { Co. for merchandise sold on December } 4 \text {. }\\\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 {. }\\\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 using the journals below.
Sales JournalPage15Account  Date  Debited  Invoice Number  PR  Accounts Receivable Dr. Sales Cr. \text{Sales Journal}\\\text{Page} 15\\\begin{array} { | l | l | l | l | l | } \hline&\text{Account }\\\text { Date } &\text { Debited }&\text { Invoice Number } & \text { PR } & \text { Accounts Receivable Dr. Sales Cr. } \\\hline\\\hline\\\hline\\\hline\\\hline\\\hline\end{array}
Purchases JournalPage20OfficeOther Date of  Accounts  Purchases  Supplies  Accounts  Date  Account  Invoice  Terms  PR  Payable Cr.  Dr.  Dr.  Dr. \text{Purchases Journal}\\\text{Page} 20\\\begin{array} { | l | l | l | l | l | l | l | l | l | } \hline&&&&&&&\text{Office}&\text{Other}\\&& \text { Date of }&&&\text { Accounts } & \text { Purchases } & \text { Supplies } & \text { Accounts }\\\text { Date } & \text { Account } & \text { Invoice } & \text { Terms } & \text { PR } & \text { Payable Cr. } & \text { Dr. } & \text { Dr. }& \text { Dr. }\\\hline\\\hline\\\hline\\\hline\\\hline\\\hline\end{array}
Cash Receipts JournalPage 17 Date  Account  Credited  Explanation  PR  Cash  Dr.  Sales  Discount  Dr.  Accounts Receivable Cr.  Sales  Cr.  Other Accounts  Cr. \begin{array}{l}\mathbf { Cash~ Receipts~ Journal}\\\mathbf { Page~ 17}\\\begin{array} { | l | l | l | l | l | l | l | l | l | } \hline \text { Date } & \begin{array} { l } \text { Account } \\\text { Credited }\end{array} & \text { Explanation } & \text { PR } & \begin{array} { l } \text { Cash } \\\text { Dr. }\end{array} & \begin{array} { l } \text { Sales } \\\text { Discount } \\\text { Dr. }\end{array} & \begin{array} { l } \text { Accounts} \\\text { Receivable} \\\text { Cr. }\end{array} & \begin{array} { l } \text { Sales } \\\text { Cr. }\end{array}&\begin{array} { l } \text { Other Accounts } \\\text { Cr. }\end{array}\\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline\end{array}\end{array}
Cash Disbursements Jaurnal Date  Ck.  No.  Payee  Account  Debited  PR  Cash  Cr.  Purchase  Discounts  Cr.  Other  Accounts  Dr.  Accounts  Payable  Dr. \begin{array}{l}\mathbf { Cash~ Disbursements~ Jaurnal }\\\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 { Purchase } \\\text { Discounts } \\\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 & & & & & & & & \\\hline\end{array}\end{array}

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