Lourdes LLC. keeps a $100 change fund in its cash register. At the end of the day, cash sales per the register tape were $3,280. The cash count was $3,700. Calculate the amount over or short.
Cash balance at beginning | $100 |
Add: sales | 3280 |
Less: Cash count | 3700 |
Amount Over | $320 |
Lourdes LLC. keeps a $100 change fund in its cash register. At the end of the...
Read the following transactions. Lourdes LLC. keeps a $100 change fund in its cash register. At the end of the day, cash sales per the register tape were $3.460. The cash count was $3,900. Calculate the amount over or short.
2 At the end of the day, the cash register tape shows $1,180 in cash sales but the count of cash in the register is $1,235. The proper entry to account for this excess is: Multiple Choice ( Debit Cosh $1180; credit Sales $1,180. O Debit Cash $1,235; credit Sales $1.235. ( Debit Cash $1,235, credit Sales $1180; credit Cash Over and Short $55. Debit Cash $1,180; debit Cash Over and Short for $55; credit Sales $1.235. Debit Cash Over...
MC Qu. 9-38 George's Grocers keeps... George's Groceres a $100 changeundin sales and cash overage for shortage for January 30 g The cash sales per the cash register tape on January 30 were $405. The cash count was $502 ently the conectom y c ode DEBIT CREDIT Cash Cash Short or Over Sales Cash (8) Sales Cash Short or Over Cash Cash M e Choice O Option A O Options 0 O Option < Prev 3 of 10 Next >...
Northwest Gift Shop, a retail business, started business on April 29, 2019. It keeps a $300 change fund in its cash register. The cash receipts for the period from April 29 to April 30, 2019, are shown below. DATE April 29 TRANSACTIONS Cash sales per the cash register tape, $1,533. Cash count, $1,825. Cash sales per the cash register tape, $1,442. Cash count, $1,743. 30 Record the cash receipts on April 29 and April 30, 2019. in a general journal...
At the end of the day, the cash register tape shows $1,060 in cash sales but the count of cash in the register is $1,085. The proper entry to account for this excess is:
register tape shows $1,480 in cash sales but the count of cash in the register is $1,610. The proper entry to t the end of the day, the cash ccount for this excess is: Multiple Choice register tape shows $1,480 in cash sales but the count of cash in the register is $1,610. The proper entry to t the end of the day, the cash ccount for this excess is: Multiple Choice
at the end of the day $443 in cash is in there registered in the amount of the change fund is $100 if the cash register tape indicates $345 which of the following journal entries should be made
Question 5 (0.2 points) At the end of the day, the cash register tape shows $1,000 in cash sales but the count of cash in the register is $1,010. The proper entry to account for this excess is: Debit Cash $1.000; credit Sales $1.000. Debit Cash $1.010; credit Sales $1.010. Debit Cash $1,010: credit Sales $1.000: credit Cash Over and Short $10. Debit Cash $1,000; debit Cash Over and Short for $10: credit Sales $1.010. Debit Cash Over and Short...
Helo At the end of the day, the cash register tape shows $1280 inches, but the count of cash in the register is $1360. The proper entry to account for this excess is 28 Savait Submit Mic Choice Debit Card Debt Ch 060 Cash Over and Sons Debit Cath $120.cre DOS Decreto 1360
Read each of the following transactions. A) The cash sales per a register tape were $579. The cash count is $552 B) The cash sales per a register tape were $8,700. The cash count is $8,280. Prepare the general journal entries to record the above transactions. View transaction list Journal entry worksheet