1. Total each column of the special journals. Show that the total debits equal the...
60.1K
Verified Solution
Link Copied!
Question
Accounting
1. Total each column of the special journals. Show that the total debits equal the total credits in each special journal.
2. Balance or reconcile the amounts receivable subsidiary ledger and accounts receivable in the general ledger. Do the same for the accounts payabel subsidiary ledger and accounts payable in the general ledger.
Sales Journal PAGE 7
DATE
INVOICE NO.
ACCOUNTS DEBITED
POST. REF.
ACCOUNTS RECEIVABLE DR. SALES REVENUE CR.
COST OF GOODS SOLD DR. INVENTORY CR.
July
2
913
Ishikawa Corp
24600
10800
July
9
914
Bell Ltd
33300
13860
July
15
915
M.O.Brown
3990
1440
July
18
916
Ishikawa Corp
2142
762
July
29
917
Bell Ltd
2976
1320
Cash Receipts Journal PAGE 5
DEBITS
CREDITS
COST OF GOODS SOLD DR. INVENTORY CR.
OTHER ACCOUNTS
DATE
CASH
SALES DISCOUNTS
ACCOUNTS RECEIVABLE
SALES REVENUE
ACCOUNT TITLE
POST. REF.
AMOUNT
July
5
6462
6462
Cash sales
2880
July
8
6650
Interest revenue
6650
July
9
32967
333
33300
Bell Ltd
July
12
24354
246
24600
Ishikawa Corp
July
31
2142
2142
Ishikawa Corp
Req.
Purchases Journal PAGE 10
CREDITS
DEBITS
OTHER ACCOUNTS
DATE
ACCOUNT CREDITED
INVOICE DATE
TERMS
POST REF.
ACCOUNTS PAYABLE
INVENTORY
SUPPLIES
ACCOUNT TITLE
POST. REF.
AMOUNT
July
3
Nakkach
14802
July
20
Burgess
12282
July
28
Manley
8050
Cash Payments Journal PAGE 8
DEBITS
CREDITS
DATE
CHQ. NO.
ACCOUNTS DEBITED
POST REF.
OTHER ACCOUNTS
ACCOUNTS PAYABLE
INVENTORY
CASH
July
5
Furniture
13110
July
10
Purchases
6858
July
13
Nakkach
14802
14358
July
22
Prepaid insurance
6000
July
25
Utilities
6718
July
30
Manley Inc
8050
7889
July
31
Salaries
14082
Accounts Receivable Subsidiary Ledger
ACCOUNT BELL LTD.
DATE
ITEM
JRNL. REF.
DEBIT
CREDIT
BALANCE
July
9
Bell Ltd
6
33300
33300
July
19
Bell Ltd
13
32967
32967
July
19
Bell Ltd Discount
13
333
333
July
29
Bell Ltd
21
2976
2976
ACCOUNT M.O. BROWN
DATE
ITEM
JRNL. REF.
DEBIT
CREDIT
BALANCE
July
15
M.O.Brown (credit sale)
11
3990
3990
July
15
M.O.Brown (Sold to)
11
1440
1440
ACCOUNT ISHIKAWA INC.
DATE
ITEM
JRNL. REF.
DEBIT
CREDIT
BALANCE
July
2
Ishikawa Inc (credit sale)
1
24600
24600
July
10
Ishikawa Inc (discount)
8
246
246
July
10
Ishikawa Inc
8
24354
-24354
July
18
Ishikawa Inc (credit sale)
13
2142
-2142
Accounts Payable Subsidiary Ledger
ACCOUNT BURGESS DISTRIBUTING LTD.
DATE
ITEM
JRNL. REF.
DEBIT
CREDIT
BALANCE
July
15
Burgess Distribution Ltd (Purchases)
15
$12,282
-$12,282
ACCOUNT NAKKACH CORP.
DATE
ITEM
JRNL. REF.
DEBIT
CREDIT
BALANCE
July
3
Nakkach Corp (purchase of inventory)
2
$14,802
-$14,802
July
13
Nakkach Corp (Discount)
9
$444.06
$444.06
July
22
Nakkach Corp (Furniture Purchase)
16
$3870
-$3870
ACCOUNT MANLEY, INC.
DATE
ITEM
JRNL. REF.
DEBIT
CREDIT
BALANCE
July
13
Manley Inc (Purchase of supplies)
10
$8646
-$8646
July
28
Manley Inc
19
$805
-$805
July
29
Manley Inc (Return)
20
$4050
$4050
Answer & Explanation
Solved by verified expert
Get Answers to Unlimited Questions
Join us to gain access to millions of questions and expert answers. Enjoy exclusive benefits tailored just for you!
Membership Benefits:
Unlimited Question Access with detailed Answers
Zin AI - 3 Million Words
10 Dall-E 3 Images
20 Plot Generations
Conversation with Dialogue Memory
No Ads, Ever!
Access to Our Best AI Platform: Flex AI - Your personal assistant for all your inquiries!