Question

Accounts Payable Subsidiary Ledger The debits and credits from two transactions are presented in the following creditors (su

0 0
Add a comment Improve this question Transcribed image text
Answer #1

Solution:

Date Action Invoice No Posted from Journal Page
11-Nov Purchase of inventory 336 Purchase journal
22-Nov Payment to supplier 360 Cash payment journal
Add a comment
Know the answer?
Add Answer to:
Accounts Payable Subsidiary Ledger The debits and credits from two transactions are presented in the following...
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
  • Please help with the following:eBook Show Me How Calculator Print Item Accounts Receivable Subsidiary Ledger...

    Please help with the following:eBook Show Me How Calculator Print Item Accounts Receivable Subsidiary Ledger The debits and credits from two transactions are presented in the following customer account: NAME Mobility Products Inc. ADDRESS 46 W. Main St. Date Item | Post. Ref. Debit Credit Balance 557 662 526 136 Aug. 1 Balance Aug. 10 Invoice No. 61 R36 105 Aug. 17 Invoice No. 64 CR23 Select the choice that describes each transaction and the source of each posting. Date...

  • Revenue Journal The following revenue transactions occurred during November: Nov. 3. Issued Invoice No. 80 to...

    Revenue Journal The following revenue transactions occurred during November: Nov. 3. Issued Invoice No. 80 to Lemon Co. for services provided on account, $398. 12. Issued Invoice No. 81 to Triple A Inc. for services provided on account, $254. 28. Issued Invoice No. 82 to Murphy Inc. for services provided on account, $623. Record these three transactions in the following revenue journal. REVENUE JOURNAL DATE Invoice No. Account Debited Post. Ref. Accounts Rec. Dr. Fees Earned Cr. Nov. 3 Nov....

  • Revenue and cash receipts journals; accounts receivable subsidiary and general ledgers Transactions related to revenue and...

    Revenue and cash receipts journals; accounts receivable subsidiary and general ledgers Transactions related to revenue and cash receipts completed by Crowne Business Services Co. during the period April 2-30 are as follows: Apr. 2. Issued Invoice No. 793 to Ohr Co., $4,680. Apr. 5. Received cash from Mendez Co. for the balance owed on its account. Apr. 6. Issued Invoice No. 794 to Pinecrest Co., $1,990. Apr. 13. Issued Invoice No. 795 to Shilo Co., $3,450. Post revenue and collections...

  • Revenue and cash receipts journals; accounts receivable subsidiary and general ledgers Transactions related to revenue and...

    Revenue and cash receipts journals; accounts receivable subsidiary and general ledgers Transactions related to revenue and cash receipts completed by Crowne Business Services Co. during the period April 2–30 are as follows: Apr. 2. Issued Invoice No. 793 to Ohr Co., $6,260. Apr. 5. Received cash from Mendez Co. for the balance owed on its account. Apr. 6. Issued Invoice No. 794 to Pinecrest Co., $2,260. Apr. 13. Issued Invoice No. 795 to Shilo Co., $3,360. Post revenue and collections...

  • Revenue and cash receipts journals; accounts receivable subsidiary and general ledgers Transactions related to revenue and...

    Revenue and cash receipts journals; accounts receivable subsidiary and general ledgers Transactions related to revenue and cash receipts completed by Crowne Business Services Co. during the period April 2–30 are as follows: Apr. 2. Issued Invoice No. 793 to Ohr Co., $6,960. Apr. 5. Received cash from Mendez Co. for the balance owed on its account. Apr. 6. Issued Invoice No. 794 to Pinecrest Co., $2,510. Apr. 13. Issued Invoice No. 795 to Shilo Co., $3,740. Post revenue and collections...

  • Revenue and cash receipts journals; accounts receivable subsidiary and general ledgers Transactions related to revenue and...

    Revenue and cash receipts journals; accounts receivable subsidiary and general ledgers Transactions related to revenue and cash receipts completed by Crowne Business Services Co. during the period April 2–30 are as follows: Apr. 2. Issued Invoice No. 793 to Ohr Co., $6,730. Apr. 5. Received cash from Mendez Co. for the balance owed on its account. Apr. 6. Issued Invoice No. 794 to Pinecrest Co., $2,420. Apr. 13. Issued Invoice No. 795 to Shilo Co., $3,610. Post revenue and collections...

  • Revenue and Cash Receipts Journals; Accounts Receivable subsidiary and General Ledgers Transactions related to revenue and...

    Revenue and Cash Receipts Journals; Accounts Receivable subsidiary and General Ledgers Transactions related to revenue and cash receipts completed by Affiliate Engineering Services during the period June 2–30 are as follows: June 2. Issued Invoice No. 717 to Yee Co., $2,210. 3. Received cash from Auto-Flex Co. for the balance owed on its account. 7. Issued Invoice No. 718 to Cooper Development Co., $1,040. 10. Issued Invoice No. 719 to Ridge Communities, $4,390. Post revenue and collections to the accounts...

  • Purchases, Accounts Payable Subsidiary Account, and Accounts Payable Ledger Sterling Forest Landscaping designs and installs landscaping....

    Purchases, Accounts Payable Subsidiary Account, and Accounts Payable Ledger Sterling Forest Landscaping designs and installs landscaping. The landscape designers and office staff use office supplies, while field supplies (rock, bark, etc.) are used in the actual landscaping. Purchases on account completed by Sterling Forest Landscaping during October are as follows: Oct. 2. Purchased office supplies on account from Meade Co., $4,240. 5. Purchased office equipment on account from Peach Computers Co., $6,090. 9. Purchased office supplies on account from Executive...

  • Part two required: 1. set up in Accounts Payable subsidiary ledger for the old English garden...

    Part two required: 1. set up in Accounts Payable subsidiary ledger for the old English garden shop open an account for each of the creditors listed below and enter the balances as of July 1. 2. post the individual entries from the purchases journal and the general journal prepared and part 1. 3. prepare a schedule of accounts payable for July 31, 2019. 4. check the total of the schedule of accounts payable against the balance of the accounts payable...

  • Purchases and Cash Payments Journals; Accounts Payable Subsidiary and General Ledgers AquaFresh Water Testing Service was...

    Purchases and Cash Payments Journals; Accounts Payable Subsidiary and General Ledgers AquaFresh Water Testing Service was established on April 16. AquaFresh uses field equipment and field supplies (chemicals and other supplies) to analyze water for unsafe contaminants in streams, lakes, and ponds. Transactions related to purchases and cash payments during the remainder of April are as follows: April 16. Issued Check No. 1 in payment of rent for the remainder of April, $3,500. April 16. Purchased field supplies on account...

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