The undeposited funds needs to be $26,971_ I have enterd in the below transactions into...

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Accounting

The undeposited funds needs to be $26,971_ I have enterd in the below transactions into MYOB and gone wrong somewhere, may you please help me to ensure that I can correct the transactions or reconcile the accounts etc, just need to fix it.
This is the current incorrect trail balance:
These arTransactions from early January 2024
2 Obtained a loan of $12,000 from Uncle Roderigo (a family relative of Imogen Braun) at a simple interest rate of 8% per year, Cheque No.139, ID #CR000001. The principal and interest on the loan are payable in six months time.
3 Purchased 8 units Swish Phones from Pear Technology at $1,683 each (includes 10% GST), Purchase #346, Supplier Inv#106. Issued Cheque No.4056 for $7,400 to this supplier for this particular invoice at the time of the purchase.
3 Issued Cheque No.4057 for $1,980(includes 10% GST) to Discount Office Supplies for the cash purchase of office supplies.
4 Received Cheque No.223 from Jerry Technology for the full amount outstanding on their account, ID #CR000002.
5 Issued Cheque No.4058 for $8,470 to Big Telco in payment of Purchase #343(Supplier Inv#204).
6 Sold the following items on credit to Hypertronics, Invoice #3378:
3 units BG90 plasma televisions for $1,540 each (includes 10% GST)
4 units Tony ZIO MLP projectors for $1,980 each (includes 10% GST).
$4,400 was received immediately, Cheque No.633, with the rest due to be received during the last week of the month. Note that MYOB automatically assigns ID #CR000003 to this cash receipt.e the transactions that I enterd trying to complete.
Transactions from early January 2024
2 Obtained a loan of $12,000 from Uncle Roderigo (a family relative of Imogen Braun) at a simple interest rate of 8% per year, Cheque No.139, ID #CR000001. The principal and interest on the loan are payable in six months time.
3 Purchased 8 units Swish Phones from Pear Technology at $1,683 each (includes 10% GST), Purchase #346, Supplier Inv#106. Issued Cheque No.4056 for $7,400 to this supplier for this particular invoice at the time of the purchase.
3 Issued Cheque No.4057 for $1,980(includes 10% GST) to Discount Office Supplies for the cash purchase of office supplies.
4 Received Cheque No.223 from Jerry Technology for the full amount outstanding on their account, ID #CR000002.
5 Issued Cheque No.4058 for $8,470 to Big Telco in payment of Purchase #343(Supplier Inv#204).
6 Sold the following items on credit to Hypertronics, Invoice #3378:
3 units BG90 plasma televisions for $1,540 each (includes 10% GST)
4 units Tony ZIO MLP projectors for $1,980 each (includes 10% GST).
$4,400 was received immediately, Cheque No.633, with the rest due to be received during the last week of the month. Note that MYOB automatically assigns ID #CR000003 to this cash receipt.
An explination of where it has gone wrong and then each little step broken down very simple to ensure that I can fox it in MYOB please.
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