The June transactions above have been journalised and posted. Skate n...
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Accounting
The June transactions above have been journalised and posted.
Skate n Surf Trial balance as at 30 June 20XX
Account no.
Account
Debit
Credit
100
Cash at bank
13,840
110
Accounts receivable
15,570
120
Inventory
37,010
130
Prepaid insurance
4,560
171
Shop equipment (cost)
45,000
200
Accounts payable
25,970
210
PAYG withholding payable
60
230
Bank loan
41,100
300
Capital
38,000
400
Sales revenue
24,860
410
Sales returns and allowances
270
420
Discount received
2,100
500
Cost of sales
13,460
600
Advertising expense
1,180
620
Discount allowed
250
660
Postage and stationery expense
190
690
Wages expense
760
$132,090
$132,090
Journalise the following end-of-month adjustments. (Note: Enter debit entries first, followed by credit entries in the general journal. Credit account titles are automatically indented when the amount is entered. Do not indent manually. Leave blank any answer fields that do not require an answer. Round answer to the nearest whole dollar.)
a.
Depreciation on shop equipment for the month is 10% p.a. prime cost (straight line).
b.
One-twelfth of the insurance expired.
c.
Superannuation payable for the month is 10.0% of the gross wages paid.
d.
Interest charged on the bank loan for the month was $152.
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