Take note of the following supplementary information: Cheque no. 390 was issued six months...
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Accounting
Take note of the following supplementary information:
Cheque no. 390 was issued six months ago and needs to be cancelled, as it is stale. The amount had initially been paid to Brand Republic for online marketing.
Shades paid for repairs done for them on the previous day via a direct deposit to the business.
Cheque no. 461 was correctly recorded in the cash payments journal.
G Grey settled his outstanding account through a direct deposit to the business on 10 April.
Cheque no. 463 should only have been debited once on the bank account.
Watchdog Security, who provides the business with security services, was paid via a monthly debit order.
Deposit no. 574 on 20 April was incorrectly recorded in the cash receipts journal.
Cheque no. 0984 was not written out by the business, and should have been debited to a different account.
The monthly telephone bill was paid to Get Wired by debit order.
A cheque received from F Baggins for payment of his outstanding account, which had originally been deposited as deposit no. 573, was returned by the bank due to insufficient funds.
Cash journals
Cash receipts journal of Sun-Eaze April CRJ1
CRJ4
Day
Doc no.
Details
Fol.
Analysis of receipts
Bank
Debtors control
Sales
VAT output
Sundries
Cost of sales
Amount
Details
Fol.
Dep no.
1
CR317
S Gamgee
5 328
06
5 328
06
1
Inv306
Cash
8 718
62
14 046
68
7 581
41
1 137
21
572
4 738
38
12
Inv307
F Baggins
15 499
78
15 499
78
2 021
71
13 478
07
Repairs income
573
19
CR318
P Took
8 234
26
8 234
26
8 234
26
574
27
Inv308
Pippins Optics
4 843
68
4 843
68
631
78
4 211
90
Commission received
575
30
Inv309
Cash
5 812
42
5 812
42
5 054
28
758
14
576
3 158
93
Cash payments journal of Sun-Eaze April
CPJ4
Date
Doc no.
Name of payee
Fol.
Bank
Creditors control
Trading Inventory
VAT input
Sundries
Amount
Details
Fol.
1
459
Tint Supplies
20 068
70
20 068
70
3
460
Plastics Warehouse
15 051
50
13 088
26
1 963
24
5
461
The Write Way
2 174
10
283
58
1 890
52
Stationery
8
462
Hyde Away
23 413
46
23 413
46
11
463
The Way I See It
28 430
62
24 722
28
3 708
34
17
464
Cape Motor Spares
10 034
34
1 308
83
8 725
51
Repairs and maintenance
22
465
Urban Fitters
18 396
28
15 996
77
2 399
51
24
466
T&C Attorneys
8 361
94
1 090
69
7 271
25
Legal fees
28
467
Frame It
10 034
34
10 034
34
31
468
Micro Fibre Depot
31 273
68
27 194
50
4 079
18
Question 1
Complete the cash receipts and cash payments journals with information noted in the bank reconciliation statement, bank statement, and supplementary information.
Note: The transactions currently recorded in the cash journals need not be included in the journals below only record any additional transactions. However, use the transactions above to calculate the totals of the journal columns. The rand symbol (R) is not required. The folio, analysis of receipt, and cost of sales columns may be ignored.
Cash receipts journal of Sun-Eaze April
Date
Doc no.
Details
Bank
Debtors control
Sales
VAT output
Sundries
Amount
Details
Transactions in the original journals apply but do not have to be re-included here
Cash payments journal of Sun-Eaze - April
Date
Doc no.
Name of payee
Bank
Creditors control
Trading stock
VAT input
Sundries
Amount
Details
Transactions in the original journals apply but do not have to be re-included here
Answer & Explanation
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