Assume that a relatively new company you and you group members are involved wilth has presented you with the folowing transactions for 2021 from the books of the business. This company operates one bank account to reflect all cash and cheque transactions. You are now required to read these transactions carefully then prepare the relevant documents and bocks as oullined in the requirements below. 1 Aug Started business with $150, 000 in the bank 3 Aug Bought supplies on credit from Right Way Manufacturers 24 Boxes Air Filter 96 Boltles fuel injector cleaner 48 Boxes Spark Plug 36 Boxes Brake Shoe 24 Boxes Disc Pads $720.00 per box $200.00 per bottle $300.00 per box $580.00 per box $400.00 per box 5 Aug Provided services for cash less 10% discount 12 small motorbike engines 6 large motorbike engines (ful service) 8 medium size motorbike engines (tfull service) $350.00 per engine s950 00 per engine sa00.00 per engine 7 Aug Paid Rent by cheque $5,000.00 10 Aug Paid Wages by cheque $3,000.00 Bought Fixtures from CT Limited paying by cash 10 Aug $3,500.00 11 Aug Provided services on credit to Auto Care. 24 small motorbike engines 8 large motor bike engines (partial service) 12 medium size motorbike engine (partial service) $350.00 per engine $650.00 per engine $550.00 per engine 12 Aug Bought Fixtures on oredit from CT Lid s8.000.00 13 Aug Received a loan from NBC cash $25,000.00 14 Aug Provided services on credit to P&S Auto 18 Large motorbike engines (full scrvice) 12 medium size motor bike engines 24 medium size motorbike engines 20 small motorbike engines $950.00 per engine $650.00 per engine $550.00 per engine $350.00 per engine 21 Aug Paid CT Lid by cheque $3,000.00 22 Aug Paid wages cash $8,000.00 23 Aug Paid Right Way Manufacturer the amcunt owing to them by cheque, they allowed us a 15% discount P&S Auto paid the amount owing by them in Cash less 10 % discount 27 Aug 27 Aug Electricity paid by cash $1,500.00 28 Aug The owner took $5000 out of the bank for his personal use. Provided services for cash 12 small motorbike engines 6 medium size motorbike engines 4 medium size motor bike engines 28 Aug $350.00 per engine $550.00 per engine $a00.00 per engine 29 Aug Bought supplies on credit from big J Manufacturers 4 Bottles Fuel Injector Cleaner 9 Boxes Air Filters 8 Boxes Sparks Plugs $200.00 per botle $720.00 per box $300.00 per box 30 Aug Provided service for cash 8 smal motorbike engines 7 Large motorbike engines 8 Medium matorbike engines $350.00 per engine $950 00 per engine $550.00 per engine 31 Aug Supplies on hand 5 Boxes Air Filter 6 Bottles fuel injector cleaner 12 Boxes Spark Plug 13 Boxes Brake Shoe 9 Boxes Disc Pads $720.00 per box $200.00 per boltle $300.00 per box $580.00 per box $400.00 per box To avaid duplication of account names and the use of improper account names, the company has provided the folowing list of accounts used to record its transactions as extracted from its chart of accounts: Capital Cash Supplies Right Way Manufacturers J Manufacturers P&S Auto CT Ld Service Revenue
Assume that a relatively new company you and you group members are involved wilth has presented you with the folowing transactions for 2021 from the books of the business. This company operates one bank account to reflect all cash and cheque transactions. You are now required to read these transactions carefully then prepare the relevant documents and bocks as oullined in the requirements below. 1 Aug Started business with $150, 000 in the bank 3 Aug Bought supplies on credit from Right Way Manufacturers 24 Boxes Air Filter 96 Boltles fuel injector cleaner 48 Boxes Spark Plug 36 Boxes Brake Shoe 24 Boxes Disc Pads $720.00 per box $200.00 per bottle $300.00 per box $580.00 per box $400.00 per box 5 Aug Provided services for cash less 10% discount 12 small motorbike engines 6 large motorbike engines (ful service) 8 medium size motorbike engines (tfull service) $350.00 per engine s950 00 per engine sa00.00 per engine 7 Aug Paid Rent by cheque $5,000.00 10 Aug Paid Wages by cheque $3,000.00 Bought Fixtures from CT Limited paying by cash 10 Aug $3,500.00 11 Aug Provided services on credit to Auto Care. 24 small motorbike engines 8 large motor bike engines (partial service) 12 medium size motorbike engine (partial service) $350.00 per engine $650.00 per engine $550.00 per engine 12 Aug Bought Fixtures on oredit from CT Lid s8.000.00 13 Aug Received a loan from NBC cash $25,000.00 14 Aug Provided services on credit to P&S Auto 18 Large motorbike engines (full scrvice) 12 medium size motor bike engines 24 medium size motorbike engines 20 small motorbike engines $950.00 per engine $650.00 per engine $550.00 per engine $350.00 per engine 21 Aug Paid CT Lid by cheque $3,000.00 22 Aug Paid wages cash $8,000.00 23 Aug Paid Right Way Manufacturer the amcunt owing to them by cheque, they allowed us a 15% discount P&S Auto paid the amount owing by them in Cash less 10 % discount 27 Aug 27 Aug Electricity paid by cash $1,500.00 28 Aug The owner took $5000 out of the bank for his personal use. Provided services for cash 12 small motorbike engines 6 medium size motorbike engines 4 medium size motor bike engines 28 Aug $350.00 per engine $550.00 per engine $a00.00 per engine 29 Aug Bought supplies on credit from big J Manufacturers 4 Bottles Fuel Injector Cleaner 9 Boxes Air Filters 8 Boxes Sparks Plugs $200.00 per botle $720.00 per box $300.00 per box 30 Aug Provided service for cash 8 smal motorbike engines 7 Large motorbike engines 8 Medium matorbike engines $350.00 per engine $950 00 per engine $550.00 per engine 31 Aug Supplies on hand 5 Boxes Air Filter 6 Bottles fuel injector cleaner 12 Boxes Spark Plug 13 Boxes Brake Shoe 9 Boxes Disc Pads $720.00 per box $200.00 per boltle $300.00 per box $580.00 per box $400.00 per box To avaid duplication of account names and the use of improper account names, the company has provided the folowing list of accounts used to record its transactions as extracted from its chart of accounts: Capital Cash Supplies Right Way Manufacturers J Manufacturers P&S Auto CT Ld Service Revenue
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
Related questions
Question
100%
Expert Solution
This question has been solved!
Explore an expertly crafted, step-by-step solution for a thorough understanding of key concepts.
Step by step
Solved in 4 steps with 7 images
Knowledge Booster
Learn more about
Need a deep-dive on the concept behind this application? Look no further. Learn more about this topic, accounting and related others by exploring similar questions and additional content below.Recommended textbooks for you
Accounting
Accounting
ISBN:
9781337272094
Author:
WARREN, Carl S., Reeve, James M., Duchac, Jonathan E.
Publisher:
Cengage Learning,
Accounting Information Systems
Accounting
ISBN:
9781337619202
Author:
Hall, James A.
Publisher:
Cengage Learning,
Accounting
Accounting
ISBN:
9781337272094
Author:
WARREN, Carl S., Reeve, James M., Duchac, Jonathan E.
Publisher:
Cengage Learning,
Accounting Information Systems
Accounting
ISBN:
9781337619202
Author:
Hall, James A.
Publisher:
Cengage Learning,
Horngren's Cost Accounting: A Managerial Emphasis…
Accounting
ISBN:
9780134475585
Author:
Srikant M. Datar, Madhav V. Rajan
Publisher:
PEARSON
Intermediate Accounting
Accounting
ISBN:
9781259722660
Author:
J. David Spiceland, Mark W. Nelson, Wayne M Thomas
Publisher:
McGraw-Hill Education
Financial and Managerial Accounting
Accounting
ISBN:
9781259726705
Author:
John J Wild, Ken W. Shaw, Barbara Chiappetta Fundamental Accounting Principles
Publisher:
McGraw-Hill Education