Horngren's Financial & Managerial Accounting, The Managerial Chapters (6th Edition)
6th Edition
ISBN: 9780134486857
Author: Tracie L. Miller-Nobles, Brenda L. Mattison, Ella Mae Matsumura
Publisher: PEARSON
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Question
Chapter B, Problem 5SE
To determine
Record the transactions in a cash receipts journal.
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INSTRUCTIONS:
• Use MS Excel
• Before you start journalizing, enter the appropriate columnar headings: Date, Description, P/R, Debit, Credit.
• Journalize the transactions, including the appropriate description and source documents for each transaction.
• Use compound entry for entries with multiple debit and credit accounts.
• In the posting reference (P/R) column encode the account numbers.
• Leave a space after every journal entry.
Required:
- JOURNAL ENTRIES
In June 2021, Chan Lee opened a photography studio that provides services to public and private
schools. His firm's Chart of Accounts and financial activities for the first month of operations
appear below:
Chan Lee Photography Studio
Chart of Accounts
ASSETS
REVENUE
101
Cash
404
Service Fees
111
Accounts Receivable
EXPENSES
Rent Expense
Salaries Expense
Telephone Expense
Utilities Expense
Miscellaneous Expense
Supplies
Office Furniture
121
511
141
512
Office Equipment
Photographic Equipment
LIABILITIES
142
513
151
514
531
202
Accounts Payable
OWNER’S EQUITY
Chan Lee, Capital
Chan Lee, Drawing
301
302
Date
Transactions
June 1 Chan Lee invested P300,000 cash in the business.
2 Issued Check # 1001 for P30,000 to pay the June rent.
5 Purchased desks and other office furniture for P50,000 from Office Plus;
received Invoice # 5312, payable in 60 days.
6 Issued Check # 1002 for P150,000 to purchase photographic equipment.
7 Purchased photography supplies for P40,000, paid with Check # 1003.…
You can also right-click either navigation arrow to open a dialog box that lists all of the worksheets in the workbook.
7
Directions:
8
On the Accounts Receivable Ledger worksheet use the blank form to open an account for a new customer, Andrews Career Center, their customer number is 110.
The opening account balance for Andrews Career Center is 1,300.00. Use February 1 for the opening balance date.
Post the transactions from each journal provided, Sales, Cash Receipts and General, into the appropriate customer accounts in the Accounts Receivable Subsidiary ledger. Each
journal has a separate worksheet.
9
10
HINTS: the Accounts Receivable Subsidiary Ledger deals with customers only so only post the amounts that affect a customer. How can you tell if a transaction affects a customer?
11
See if the journal transaction identifies a customer by name. If it does you need to determine if the amount is a debit or credit. How can you tell? Look at column heading, it will
Chapter B Solutions
Horngren's Financial & Managerial Accounting, The Managerial Chapters (6th Edition)
Ch. B - Match the benefit of an effective accounting...Ch. B - Prob. 2TICh. B - Prob. 3TICh. B - Prob. 4TICh. B - Prob. 5TICh. B - Prob. 6TICh. B - Prob. 7TICh. B - Prob. 8TICh. B - Prob. 1QCCh. B - Prob. 2QC
Ch. B - Prob. 3QCCh. B - Prob. 4QCCh. B - Prob. 5QCCh. B - Prob. 6QCCh. B - Prob. 7QCCh. B - When using a manual accounting information system,...Ch. B - Prob. 9QCCh. B - Prob. 1RQCh. B - Prob. 2RQCh. B - Prob. 3RQCh. B - Prob. 4RQCh. B - What is the purpose of a subsidiary ledger?Ch. B - Prob. 6RQCh. B - List the four special journals often used in a...Ch. B - Explain the posting process of the sales journal.Ch. B - Prob. 9RQCh. B - What are the columns that are typically used in...Ch. B - Explain the posting process of the cash payments...Ch. B - When is the general journal used in a manual...Ch. B - Prob. 13RQCh. B - Prob. 14RQCh. B - Prob. 15RQCh. B - How is QuickBooks organized?Ch. B - How would a business record a sale of services on...Ch. B - How would a business record a bill received in...Ch. B - Prob. 1SECh. B - Prob. 2SECh. B - Identifying special journals Use the following...Ch. B - Prob. 4SECh. B - Prob. 5SECh. B - Prob. 6SECh. B - Prob. 7SECh. B - Prob. 8SECh. B - Prob. 9SECh. B - Prob. 10SECh. B - Prob. 11SECh. B - Prob. 12SECh. B - Prob. 13SECh. B - Prob. 14ECh. B - Prob. 15ECh. B - Prob. 16ECh. B - Prob. 17ECh. B - Identifying transactions in the accounts...Ch. B - Prob. 19ECh. B - Prob. 20ECh. B - Prob. 21ECh. B - Prob. 22ECh. B - Prob. 23ECh. B - Prob. 24APCh. B - Prob. 25APCh. B - Using all journals, posting, and balancing the...Ch. B - Prob. 27BPCh. B - Using the purchases, cash payments, and general...Ch. B - Using all journals, posting, and balancing the...Ch. B - Prob. 30PCh. B - Prob. 31PCh. B - Prob. 1COMPCh. B - Prob. 1TIATCCh. B - Prob. 1DCCh. B - Prob. 1FCCh. B - Prob. 1CA
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