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.
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Post the entries in the general journal above to the appropriate accounts in the accounts receivable ledger for Calderone Company.
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Post the entries in the general journal below to the Accounts Receivable account in the general...
Saved Post the entries in the general journal below to the Accounts Receivable account in the general ledger and to the apprc accounts in the accounts receivable ledger for Calderone Company. Assume the following account balances at January 1, 2019: Accounts Receivable (control account) Accounts Receivable-John Gibrone $8,040 Accounts Receivable-Jim Garcia 4,900 2,110 AccountS Receivable-June Lin 1,030 GENERAL JOURNAL POST. DATE DESCRIPTION REF. DEBIT CREDIT 2019 Jan. 8 Cash 490 Accounts Receivable/John Gibrone 490 Received partial pa yment on account...
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) $ 9,120 Accounts Receivable—John Gibrone 5,800 Accounts Receivable—Jim Garcia 2,200 Accounts Receivable—June Lin 1,120 GENERAL JOURNAL DATE DESCRIPTION POST. REF. DEBIT CREDIT 2019 Jan. 8 Cash 580 Accounts Receivable/John Gibrone 580 Received partial payment on account...
Post the entries in the general journal below to the accounts payable account in the general ledger and to the appropriate accounts in the accounts payable ledger. Assume the following account balances at January 1, 2019, for Bioplast Jewelry, Inc.: Accounts Payable (control account) Accounts Payable-Evans Enterprises Accounts Payable-Stamos Distributors Accounts Payable-Tonetta Company $7,500 1,900 3,480 2.200 GENERAL JOURNAL DESCRIPTION POST. REF. DEBIT CREDIT DATE 2019 Jan. 8 Accounts Payable/Stamos Distributors Made partial payment on account, Check 1240 360 10...
Please show how you solved. Post the secounte eanble ledcer for Calderone Co vable account in the general ledger and to the appropriate Assume the following account balances at January 1, 2019 ompany ints Accounts Receivable ount) ntrol $7.448 Accounts Receivable-John Gibrone Skipped Accounts Receivable-Jim Garcia 2,068 988 Accounts Receivable-June Lin GENERAL 3OURNAL eBook POST REE DATE DESCRIPTION DEBIT CREDIT 2819 Jan. 8 Ca Hint Accounts Receivable/John Gibrone Received partial payment on account from John Gibrone 448 28 Sales Returns...
Post the following general journal entries to the general ledger. GENERAL JOURNAL Post Page 1 Credit Date 1/1 Description Cash Debit 20,000 Jacob S., Capital 20,000 1/5 Rent expense 5,000 Cash 5,000 1/8 Supplies 3,000 Cash 3,000 ACCOUNT NAME Cash ACCOUNT NUMBER 1 Balance Credit DATE Item Post Ref Debit Credit Debit ACCOUNT NAME: Supplies ACCOUNT NUMBER: 14 Balance Credit DATE Item Post Ref Debit Credit Debit ACCOUNT NAME: Jacob S., Capital ACCOUNT NUMBER: 31 Balance Credit DATE Item Post...
Please post your journal entries to the General Ledger and prepare a trial balance journal entries Georges Bicycle Repair Shop Debit Credit 500 Date Account Name 1-Jan Cash Capital Account Payable Repairs revenue Repairs revenue Note Payable Cash 500 3-Jan Supplies 125 125 5-Jan Cash 200 200 6-Jan Account Receivable 500 500 10-Jan Cash 5000 5000 15-Jan Account Payable 125 125 17-Jan Supplies 200 Account Payable 18-Jan Cash 250 Account Receivable 250
fill journal and ledger Desoto Company must make three adjusting entries on December 31, 2019 a. Suppliles used, $9,400 (supplles totaling $14,800 were purchased on December 1, 2019, and debited to the Supplies account). b. Explred Insurance, $6,600; on December 1, 2019, the firm pald $39,600 for six months Insurance coverage In advance and deblted Prepald Insurance for this amount. c. Depreclation expense for equlpment, $4,200. Required Prepare the Journal entrles for these adjustments and post the entries to the...
Post the general journal entries from the journal to the corresponding general ledger accounts, paying particular attention to whether they’re debits or credits. Use the Post Ref. column to ensure that each line item of the journal entries is posted correctly to each general ledger account. Posting from the journal to the general ledger is simply rearranging the information. J & LAccounting, Inc Post-Closing Trial Balance December 31, 2017 BALANCE DEBIT ACCOUNT TITLE CREDIT Cash, Business Checking Accounts Receivable Prepaid...
Using Taccounts, post the following journal entries to the general ledger and calculate ending balances journal entries presented in the question.) Credit Date Sept. 2 Debit 4,670 4,670 2,230 General Journal Account titles Accounts Receivable Service Revenue Cash Accounts Receivable Cash Service Revenue Cash Accounts Receivable 2.230 10 3.080 3,080 28 1.240 1,240 Cash Accounts Receivable Service Revenue
On September 1, the balance of the Accounts Receivable control account in the general ledger of Carla Vista Company was $11,030. The customers’ subsidiary ledger contained account balances as follows: Hurley $1,500, Andino $2,720, Fowler $1,960, and Sogard $4,850. At the end of September, the various journals contained the following information. Sales journal: Sales to Sogard $730, to Hurley $1,180, to Giambi $1,220, and to Fowler $1,220. Cash receipts journal: Cash received from Fowler $1,270, from Sogard $2,370, from Giambi...