Please help with these journal entries! I need to know which accounts to debit and...
90.2K
Verified Solution
Link Copied!
Question
Accounting
Please help with these journal entries! I need to know which accounts to debit and credit on these business papers and which journals to post them to (receiving cash, giving cash, purchase, sale journals or the general journal).
INTRODUCTION
The Company sells and rents camping equipment from its store in Denver, Colorado. It is a sole proprietorship and is owned and operated by Samuel Stephens. Maintains a perpetual inventory system. The company also rents tents and groups of assorted camping equipment to trail guides. The terms of all sales and all rentals are net 30. The company delivers the equipment to many of its customers. Some customers pick it up at the store. Mr. Stephens makes all deposits. He removes the cash from the cash register and lists all checks received on a deposit ticket. He then gives the duplicate deposit slip to you for recording.
INSTRUCTIONS
Examine the business papers that follow. They consist of sales invoices, rental invoices, purchase invoices, duplicate deposits slips, credit memoranda and interoffice memoranda. They appear in the order in which they come to the bookkeepers attention. The actions you as bookkeeper should take regarding these are:
Sales Invoices Enter the information in the Sales Journal. Post to the Subsidiary Accounts Subsidiary Ledger.
Rental Invoices Enter the information in the Sales Journal. Post to the Subsidiary Accounts Subsidiary Ledger.
Purchases Invoices Enter information in the Purchases Journal on the date the invoice is received for each purchase of merchandise inventory or supplies. Post to the Subsidiary Accounts Payable Ledger. Mr. Stephens will send you an interoffice memorandum when he wants you to prepare checks for payment for these invoices.
Credit Memoranda Enter the information in the General Journal.
Duplicate Deposit Tickets All cash deposits are from cash sales of camping equipment and should be recorded as a credit to Sales. The checks listed on the deposit ticket are receipts from customers who have made payments on their accounts and should be recorded as credits to Accounts Receivable and posted to the Subsidiary Accounts Receivable Ledger.
Interoffice Memoranda The owner sends information to you, the bookkeeper, instructing you to do certain tasks, such as prepare checks for his signature, establish a new account, or reclassify a previously recorded purchase. When Mr. Stephens asks you to prepare checks for his signature, you will not prepare a check but you will need to record the payment in the Cash Disbursements Journal. You are not authorized to sign checks to follow good internal control procedures.
CHART OF GENERAL LEDGER ACCOUNTS
Account Title
Account Number
Cash
101
Petty cash
102
Accounts Receivable
106
Allowance for Doubtful Accounts
107
Interest Receivable
109
Notes Receivable
111
Merchandise Inventory
119
Office Supplies
124
Store Supplies
125
Prepaid Insurance
128
Office Equipment
163
Accumulated Depreciation Office Equipment
164
Store Equipment
165
Accumulated Depreciation Store Equipment
166
Camping Rental Equipment
167
Accumulated Depreciation Camping Rental Equipment
168
Building
183
Accumulated Depreciation Building
184
Accounts Payable
201
Interest Payable
203
Salaries Payable
209
Mortgage Note Payable 9%
251
Samuel Stephens, Capital
301
Samuel Stephens, Withdrawals
302
Camping Equipment Rental Revenue
406
Interest Earned
409
Camping Equipment Sales
413
Cost of Goods Sold
502
Depreciation Expense Building
606
Depreciation Expense Office equipment
612
Depreciation Expense Store Equipment
613
Depreciation Expense Camping Rental Equipment
615
Salaries Expense
622
Interest Expense
633
Insurance Expense
637
Office Supplies Expense
650
Stores Supplies Expense
651
Advertising Expense
655
Bad Debt Expense
656
Miscellaneous Expense
677
Telephone Expense
688
Utilities Expense
690
Income Summary
Business Paper No. 26
Inter-Office Memo
From
Samuel Stephens
Date
June 22, 20XX
To
Bookkeeper
Subject
Withdrawal
Please prepare a check for $3,000, payable to me for my personal use. Check #534
Business Paper No. 27
Invoice # S6912
Sales Invoice
Date June 25, 20XX
Sold To:
S. Peeples
45 Canada Lane
St. James, Colorado, 75127
Customer Order No.
SP205
Our Order No.
S6912
Date Delivered
6/25/20XX
Delivered
Customer
Pickup
Terms
n/30
Quantity
Ordered
Shipped
Description
Unit Price
Amount
4
4
Air mattresses
38
75
155
00
10
10
Polyethylene tarp
19
20
192
00
5 sets
5 sets
Tent stakes
31
55
157
75
5
5
Nylon rope
21
80
109
00
Total
613
75
Bookkeepers Copy
Cost of goods sold: $225.00
Business Paper No. 28
Invoice # R4522
Rental Invoice
Date June 26, 20XX
Rented To:
A. Smith
1073 Broadway
Rocky Springs, Colorado, 76660
Customer Order No.
AS1011
Our Order No.
R4522
Date Delivered
6/26/20XX
Delivered Via
Our Truck
Terms
n/30
Quantity
Ordered
Shipped
Description
Unit Price
Amount
2
2
Type A Group Camping Equipment
720.00
1,440.00
1
1
Type B Group Camping Equipment
540.00
540.00
Total
1,980.00
Bookkeepers Copy
Business Paper No.29
Invoice # DC50-95
Purchase Invoice
Dixon Company
Date June 28, 20XX
Sold To:
Industrial Blvd.
Denver, Colorado 77787
Customer Order No.
CHP4584
Our Order No.
DC50-95
Date Shipped
6/25/20XX
Shipped
Our Truck
Terms
2/10, n/60
Quantity
Ordered
Shipped
Description
Unit Price
Amount
4
4
Klondike Cooking Kits
42
35
169
40
12
12
#2 Rafts
48
00
576
00
6
6
Hammocks small
36
90
221
40
10
10
Igloo ice chests 2 gallon
18
35
183
50
RECEIVED JUNE 28
Total
1,150
30
Bookkeeper: This purchase is for Camping Rental Equipment
Business Paper No. 30
Invoice # Z69001
Purchase Invoice
Zappo Corporation
Date June 27, 20XX
Sold To:
Industrial Blvd.
Denver, Colorado 77787
Customer Order No.
CHP4585
Our Order No.
Z69001
Date Delivered
Shipped
6/26/19XX
Shipped Via
Our Truck
Terms
2/10, n/60
Quantity
Ordered
Shipped
Description
Unit Price
Amount
10
10
Down Jackets, assorted sizes
86
61
866
10
12
12
Rain ponchos $435 one size fits all
38
15
457
80
2
2
Hiking boots #245
72
25
144
50
14
14
Nylon rope
13
25
185
50
RECEIVED JUNE 28
Total
1,653
90
Business Paper No. 31
Inter-Office Memo
From
Samuel Stephens
Date
June 28, 20XX
To
Bookkeeper
Subject
Cash Disbursements
Prepare your payroll check. Salary for the period ended June 28 is $1,680. Check #535
Business Paper No. 32
Inter-Office Memo
From
Samuel Stephens
Date
June 30, 20XX
To
Bookkeeper
Subject
Receipt of notes
Record the receipt of a 60-day, 12% note receivable from Mrs. K. Gragg in settlement of her account receivable.
Business Paper No. 33
Inter-Office Memo
From
Samuel Stephens
Date
June 30, 20XX
To
Bookkeeper
Subject
Replenish Petty Cash Fund
Please prepare a check for $95.10 to replenish the petty cash fund for: Check # 536
Petty Cash Voucher #5 Transportation-in $34.00
Petty Cash Voucher #6 Office supplies $42.50
Petty Cash Voucher #7 Store Supplies $18.60
Business Paper No. 34
COLORADO BANK
MEMBER F.D.I.C.
Coin
6
70
Currency
3,645
00
Checks
A. Smith
1,435
00
Industrial Boulevard
S. Peeples
3,055
00
Denver, Colorado 77787
June 30, 20 XX__
TOTAL
8,141
70
00015613345678009878
Duplicate Deposit Ticket
Bookkeeper: Cost of Cash Sales was $1,432.60.
Business Paper No. 35
Inter-Office Memo
From
Samuel Stephens
Date
June 30, 20XX
To
Bookkeeper
Subject
Return of Merchandise to Vendor
Record the return of 1 large tent V-135 to Sampson Distributors for $825.00 Sampsons invoice #S4563, dated June 2, 20XX
Business Paper No. 36
Inter-Office Memo
From
Samuel Stephens
Date
June 30, 20XX
To
Bookkeeper
Subject
Reclassification of camping equipment
The 12 rafts purchased on June 28 from Dixon Company (Invoice CD50-95) were sold for cash to a rafting company. Remove the value of the rafts ($576) from Camping Rental Equipment and charge it to the Merchandise Inventory account.
Business Paper No. 37
Inter-Office Memo
From
Samuel Stephens
Date
June 30, 20XX
To
Bookkeeper
Subject
Telephone expenses for June
Please make a check payable to Intermountain Telephone for $825 for the telephone expense for June. Check #537
Business Paper No. 38
Inter-Office Memo
From
Samuel Stephens
Date
June 30, 20XX
To
Bookkeeper
Subject
Utilities expense for June
Please make a check payable to Rocky Pacific Utility for $600 for the utilities (gas and electric) expense for June.
Check # 538
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!