Question

May 120 31 Suppilas Accounts Payable 120 What is the best explanation for this journal calley O Purchased supplies on accoun
0 0
Add a comment Improve this question Transcribed image text
Answer #1

1. a Purchased Supplies On account

As the supplies accounts is debited, supplies are purchased and there are two option for purchases i.e a and c. In option C, it is written that purchased supplier in cash, in that case cash account will be credited and hence option C is wrong and option A is correct for purchases of supplies on account.

2. b Received cash for services to be performed in the future.

As the cash account is debited, it is cash received and there are two options i.e option b and d, out of which option b is coorect answer as It is the cash received for the services which will be performed in the near future. For option d, it is the cash received for services performed but in the entry it is written that it is unearned fees as the services are yest to be performed.

Add a comment
Know the answer?
Add Answer to:
May 120 31 "Suppilas Accounts Payable 120 What is the best explanation for this journal calley...
Your Answer:

Post as a guest

Your Name:

What's your source?

Earn Coins

Coins can be redeemed for fabulous gifts.

Not the answer you're looking for? Ask your own homework help question. Our experts will answer your question WITHIN MINUTES for Free.
Similar Homework Help Questions
  • 375 315 March &* cash Unaarned Fees 177717787797 Whafis the best explanatton for this journal entry's...

    375 315 March &* cash Unaarned Fees 177717787797 Whafis the best explanatton for this journal entry's paid cash for services to baperformed. b.Received cath for services to be performed in tlis futures O a Paid cash in advanes for services to bo done. d. Received cash for servfocs performed .

  • March 6' Cash Unaarned Fees 375 What is the best explanatton for this journal entry spaldessh...

    March 6' Cash Unaarned Fees 375 What is the best explanatton for this journal entry spaldessh for services to be performed. & Received cash for services to be perfomed in this futuras o. Paid cash in advance for services to bo dono. d. Received cash for services performed

  • 5. The following transactions occurred for Wilke Technology Solutions: 4(Click the icon to view the transactions.)...

    5. The following transactions occurred for Wilke Technology Solutions: 4(Click the icon to view the transactions.) Read the requirement" (Record debits first, then credits. Select the explanation on the last line of the joumal entry table.) May 1: The business received cash of $105,000 and issued common stock to Zoe Wilke. Date Accounts and Explanation Debit Credit May 1 CE May 2: Purchased office supplies on account, $550. Date Accounts and Explanation Debit Credit May 2 (6) (10) May 4:...

  • Journalize the following transactions. Include dates and a brief explanation for each journal entry. (Click the...

    Journalize the following transactions. Include dates and a brief explanation for each journal entry. (Click the icon to view the transactions.) Journalize the following transactions for July. (Record debits first, then credits. Select the explanation on the last line of the journal entry table. Check your spelling carefully and do not abbreviate.) July 1: Issued common stock for $14,000 Journal Entry Accounts and Explanations Credit Date Debit Jul July 5: Performed services on account for $12,000 no July 1: Issued...

  • 6. The first nine transactions of North-West Airplane Repair have been posted to the T-accounts. Provide...

    6. The first nine transactions of North-West Airplane Repair have been posted to the T-accounts. Provide an explanation for each of the nine transactions. Click the icon to view the nine transactions.) 1. (1) 9. (9) 6: Data Table LIABILITIES + EQUITY Retained Earnings Contributed Capital + - - + + Common Stock 370,000 - (1) (8) Dividends 7,000 Service Revenue 21,000 - 9) (2) Rent Expense 1,400 (5) (4) Cash (1) 370,000 360,000 (2) 133260.000 1.2005) 19) 21,000 1,500...

  • Vera Ernst is a licensed dentist. During the first month of the operation of her business,...

    Vera Ernst is a licensed dentist. During the first month of the operation of her business, the following events and transactions occurred. April i invested $20,000 cash in her business. 1 Hired a secretary-receptionist at a salary of $700 per week payable monthly. 2 Paid office rent for the month $1,500. 3 Purchased dental supplies on account from Dazzle Company $4,000. 10 Performed dental services and billed Insurance companies $5,100. 11 Received $1,000 cash advance from Leah Mataruka for an...

  • On May 31, the Cash account of Tesla had a normal balance of $5,000. During May,...

    On May 31, the Cash account of Tesla had a normal balance of $5,000. During May, the account was debited for a total of $12,200 and credited for a total of $11,500. What was the balance in the Cash account at the beginning of May? Multiple Choice O A SO balance. O A $4,300 debit balance, O A $4,300 credit balance. A $5,700 debit balance. A $5,700 credit balance. 16 24 Next > During the month of March, Harley's Computer...

  • instructions: Record these transactions in the general journal for Central Advertising Inc. Then post your journal...

    instructions: Record these transactions in the general journal for Central Advertising Inc. Then post your journal entries in the t-accounts provided and prepare a trial balance. You may want to refer to Part 1 of this project where you have already analyzed these transactions. 84 General Journal You invested $13,000 in exchange for common stock to start Central Advertising Date Account PR Debt Credit 84 Purchased 6 months of insurance for $1500 cash 87 Purchased $8,000 of office equipment by...

  • The following transaction has been recorded in the general Journal entry:? 1,200 Accounts payable Cash 1,200...

    The following transaction has been recorded in the general Journal entry:? 1,200 Accounts payable Cash 1,200 Which of the following could be an explanation for this transaction? Multiple Choice Provided services on account Pald cash to settle accounts payable Collected cash from customers Which of the following could be an explanation for this transaction? Multiple Choice Ο Provided services on account Ο Paid cash to settle accounts payable Ο Collected cash from customers Ο Borrowed money to support operating activities

  • Journalize the transactions Vera Ernst is a licensed dentist. During the first month of the operation...

    Journalize the transactions Vera Ernst is a licensed dentist. During the first month of the operation of her business, the following events and transactions occurred. April 1 Invested $18,000 cash in her business. 1 Hired a secretary-receptionist at a salary of $600 per week payable monthly. 2 Paid office rent for the month $1,200. 3 Purchased dental supplies on account from Dazzle Company $3,300. 10 Performed dental services and billed insurance companies $5,200. 11 Received $1,400 cash advance from Leah...

ADVERTISEMENT
Free Homework Help App
Download From Google Play
Scan Your Homework
to Get Instant Free Answers
Need Online Homework Help?
Ask a Question
Get Answers For Free
Most questions answered within 3 hours.
ADVERTISEMENT
ADVERTISEMENT
ADVERTISEMENT