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Chapter 10 & 11 Test Review For each transaction, record the journal it belongs in, and the Dr./Cr....

Date post: 04-Jan-2016
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Chapter 10 & 11 Test Review For each transaction, record the journal it belongs in, and the Dr./Cr. accounts and amounts
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Chapter 10 & 11 Test ReviewFor each transaction, record the journal it belongs in, and the Dr./Cr. accounts and amounts

Sep 9. Bought store supplies on account from Creative Store Supplies, $150. M50.

Sep. 2. Received cash on account from Dorothy Reader, $153.70. R88.

Sept. 1 Paid cash for telephone bill, $96.00. C241

Sept. 1. Sold merchandise on account to Frieda Leno, $137.50, plus sales tax. S62.

Sept. 5, Paid cash on account to Gift Supplies, Inc, $548.00. C363

Sept. 6. Purchased merchandise for cash, $155.00. C364

Nov. 2. Jack Armstrong, Partner, withdrew cash for personal use, $1250.00. C361

Oct. 30. Paid cash to replenish petty cash fund, $261.00: office supplies, $52.00; store supplies, $40.00; advertising, $77.00; miscellaneous, $92.00. C255

Oct. 20. Susan Shirley, partner, withdrew merchandise for personal use, $120.00. M52.

Aug 5. Recorded cash and credit card sales, $2,596.00, plus sales tax.

Prove Cash The December 1 cash balance is: $4.738.50.

The balance on the next unused check stub is: $33,360.80


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