Question

Post the entries in the general journal below to the Accounts Receivable account in the general...

Post the entries in the general journal below to the Accounts Receivable account in the general ledger and to the appropriate accounts in the accounts receivable ledger for Calderone Company.

Assume the following account balances at January 1, 2019:

Accounts Receivable (control account) $ 7,560
Accounts Receivable—John Gibrone 4,500
Accounts Receivable—Jim Garcia 2,070
Accounts Receivable—June Lin 990

  

GENERAL JOURNAL
DATE DESCRIPTION POST.
REF.
DEBIT CREDIT
2019
Jan. 8 Cash 450
Accounts Receivable/John Gibrone 450
Received partial payment on
account from John Gibrone
20 Sales Returns and Allowances 200
Sales Tax Payable 16
Accounts Receivable/Jim Garcia 216
Accept return of defective
merchandise, Credit
Memorandum 121; original sale
made on Sales Slip 11102 of
December 27, 2018

Post the entries in the general journal above to the accounts receivable account in the general ledger for Calderone Company.

GENERAL LEDGER
Accounts Receivable Account No. 111
Date Debit Credit Balance
Jan 01, 2019 7,560

Post the entries in the general journal above to the appropriate accounts in the accounts receivable ledger for Calderone Company.

ACCOUNTS RECEIVABLE SUBSIDIARY LEDGER
Jim Garcia John Gibrone
Date Debit Credit Balance Date Debit Credit Balance
Jan 01, 2019 2,070 Jan 01, 2019 4,500
June Lin
Date Debit Credit Balance
Jan 01, 2019
0 0
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Answer #1

Page of Answey from the Droblem Required GENERAL LEADER Receivable Debit Account no.lll. Credit Balance Accounts Date janol,page: oa ACCOUNTS RECEIVABIE SUBSIDIARY LEDGER John Gibrone Date Debit I credit 01.01.2019 Balance 2040 1620 08.01.2019 450 1

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