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Accounting - 8317355

The document contains a detailed record of journal entries for Sava Reye, including dates, particulars, debits, and credits for various transactions from January to March. It outlines expenses, revenues, inventory purchases, and payments, reflecting the financial activities of the business. Additionally, it includes entries for other companies and accounts, providing a comprehensive overview of financial transactions during the specified period.

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0% found this document useful (0 votes)
2 views51 pages

Accounting - 8317355

The document contains a detailed record of journal entries for Sava Reye, including dates, particulars, debits, and credits for various transactions from January to March. It outlines expenses, revenues, inventory purchases, and payments, reflecting the financial activities of the business. Additionally, it includes entries for other companies and accounts, providing a comprehensive overview of financial transactions during the specified period.

Uploaded by

experttsolutions
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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Download as XLS, PDF, TXT or read online on Scribd
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SOLUTION:

Journal Entries in the books of sava Reye

Date Particulars Debit

4-Jan Wages Payable $500.00


Wages Expenses $125.00
Cash
(To record wages expense.)

5-Jan Cash $25,000.00


S.Rey Capital
(To record investment in the business.)

7-Jan Merchandise Inventory $5,800.00


Accounts Payable
(To record purchase of inventory on account.)

9-Jan Cash $2,668.00


Gomez Co.
(To record cash receipt from client.)

11-Jan Alex Engineering $5,500.00


Computer Service Revenue
(To record services provided.)

13-Jan Liu Corp $5,200.00


Sales
(To record sales of goods.)

13-Jan Cost of goods sold $3,560.00


Merchandise Inventory
(To record the cost of goods sold.)

15-Jan Merchandise Inventory $600.00


Cash
(To record payment of freight expense on inventory.)

16-Jan Cash $4,000.00


Computer Service Revenue
(To record receipt of cash.)
17-Jan Accounts Payable $5,800.00
Cash
Merchandise Inventory
(To record payment of accounts payable.)

20-Jan Sales Return & Allowances $500.00


Liu Corp
(To record sales return.)

22-Jan Cash $4,653.00


Sales Discount $47.00
Liu Corp
(To record receipt of payment from customer.)

24-Jan No Entry

26-Jan Merchandise Inventory $9,000.00


Accounts Payable
(To record purchase of inventory.)

26-Jan KC Inc. $5,800.00


Sales
(To record sale of goods.)

26-Jan Cost of goods sold $4,640.00


Merchandise Inventory
(To record the cost of goods sold.)

29-Jan Accounts Payable $496.00


Merchandise Inventory
(To record return of defective goods.)

31-Jan Wages Expenses $1,250.00


Cash
(To record wages expense.)

1-Feb Prepaid Rent $2,475.00


Cash
(To record rent expense.)

3-Feb Accounts Payable $8,504.00


Cash
Merchandise Inventory
(To record payment of accounts payable.)

5-Feb Advertising Expense $600.00


Cash
(To record advertising expense)

11-Feb Cash $5,500.00


Alex Engineering
(To record cash receipt from customer.)

15-Feb S.Rey, Withdrawals $4,800.00


Cash
(To record withdrawals.)

23-Feb Delta Inc. $3,220.00


Sales
(To record sale of goods.)

23-Feb Cost of goods sold $2,660.00


Merchandise Inventory
(To record the cost of goods sold.)

26-Feb Wages Expenses $1,000.00


Cash
(To record wages expense.)

27-Feb Mileage Expense $192.00


Cash
(To record mileage expense.)

8-Mar Computer Supplies $2,730.00


Accounts Payable
(To record purchase of office supplies.)

9-Mar Cash $3,220.00


Delta Co.
(To record cash receipt from customer.)

11-Mar Repair Expenses-Computer $960.00


Cash
(To record the repair expenses.)
16-Mar Cash $5,260.00
Computer Service Revenue
(To record cash receipt from customer.)

19-Mar Accounts Payable $3,830.00


Cash
(To record payment of accounts payable.)

24-Mar Easy Leasing $9,047.00


Computer Service Revenue
(To record the services provided.)

25-Mar Wildcat Service $2,800.00


Sales
(To record sale of goods.)

25-Mar Cost of goods sold $2,002.00


Merchandise Inventory
(To record the cost of goods sold.)

30-Mar IFM Company $2,220.00


Sales
(To record sale of goods.)

30-Mar Cost of goods sold $1,048.00


Merchandise Inventory
(To record the cost of goods sold.)

31-Mar Mileage Expense $128.00


Cash
(To record mileage expense.)
Credit

$625.00

$25,000.00

$5,800.00

$2,668.00

$5,500.00

$5,200.00

$3,560.00

$600.00

$4,000.00
$5,742.00
$58.00

$500.00

$4,700.00

$9,000.00

$5,800.00

$4,640.00

$496.00

$1,250.00

$2,475.00

$8,418.96
$85.04

$600.00

$5,500.00

$4,800.00

$3,220.00

$2,660.00

$1,000.00

$192.00

$2,730.00

$3,220.00

$960.00
$5,260.00

$3,830.00

$9,047.00

$2,800.00

$2,002.00

$2,220.00

$1,048.00

$128.00
Journal Entries in the books of esd through sept

Date Particulars Debit Credit

4-Jan Wages Payable $44.00


Wages Expenses $44.00
Cash $64.00
(To record wages expense.)

5-Jan Cash $45,646.00


S.Rey Capital $45,646.00
(To record investment in the business.)

7-Jan Merchandise Inventory $46.00


Accounts Payable $46.00
(To record purchase of inventory on account.)

9-Jan Cash $66.00


Gomez Co. $66.00
(To record cash receipt from client.)

11-Jan Alex Engineering $89.00


Computer Service Revenue $89.00
(To record services provided.)
Merchandise Inventory, 119

Date Particulars Debit Credit

1-Jan Balance
7-Jan Accounts Payable $5,800.00
13-Jan Cost of goods sold $3,560.00
15-Jan Cash $600.00
17-Jan Accounts Payable $58.00
26-Jan Accounts Payable $9,000.00
26-Jan Cost of goods sold $4,640.00
29-Jan Accounts Payable $496.00
3-Feb Accounts Payable $85.04
23-Feb Cost of goods sold $2,660.00
25-Mar Cost of goods sold $2,002.00
30-Mar Cost of goods sold $1,048.00
Balance

$0.00
$5,800.00
$2,240.00
$2,840.00
$2,782.00
$11,782.00
$7,142.00
$6,646.00
$6,560.96
$3,900.96
$1,898.96
$850.96
KCC Inc.

Date Particula Debit Credit Balance

1-Jan Balance $0.00


26-Jan Sales $353.00 $353.00

Dream Inc.

Date Particula Debit Credit Balance

1-Jan Balance $35.00 $0.00


dw Co. 106.6w

Date Particula Debit Credit Balance

1-Jan Balance ###


9-Jan Cash $3,232.00 -$564.00

Delta Cero. 106.7

Date Particula Debit Credit Balance

1-Jan Balance $0.00


23-Feb Sales $2,423.00
9-Mar Cash $3,220.00 -$797.00
wsa Corp

Date Particula Debit Credit Balance

1-Jan Balance $0.00


13-Jan Sales $343.00 $343.00
20-Jan Sales Return & Allow $500.00 -$157.00
22-Jan Cash $54.00 -$211.00
22-Jan Sales Discount $47.00 -$258.00
IFM Co.

Date Particula Debit Credit Balance

1-Jan Balance $3,000.00


30-Mar Sales $534,543.00 $537,543.00
Easy Leasing

Date Particula Debit Credit Balance

1-Jan Balance $0.00


24-Mar Computer $232.00 $232.00
Service

Date Particula Debit Credit Balance

1-Jan Balance $0.00


25-Mar Sales $2,432.00 ###
Engineering Co.

Date Particula Debit Credit Balance

1-Jan Balance $0.00


11-Jan Computer $5,678.00
11-Feb Cash $55.00 ###
Cost of goods sold

Date Particula Debit Credit Balance

1-Jan Balance $0.00


13-Jan Merchandi$3,543.00 $3,543.00
26-Jan Merchandi$4,640.00 $8,183.00
23-Feb Merchandi$5,353.00 $13,536.00
25-Mar Merchandi $35.00 $13,571.00
30-Mar Merchandi $53.00 $13,624.00
Sales returns and allowances

Date Particula Debit Credit Balance

1-Jan Balance $78.00 $0.00


20-Jan Liu Corp $500.00 $78.00

Sales discounts

Date Particula Debit Credit Balance

1-Jan Balance $0.00


22-Jan Liu Corp $787.00 $787.00
Sales

Date Particula Debit Credit Balance

1-Jan Balance $353.00 $0.00


13-Jan Liu Corp $43.00 $43.00
26-Jan KC Inc. $53,454.00 $53,497.00
23-Feb Delta Inc. $3,220.00 $56,717.00
25-Mar Wildcat Service $3.00 $56,720.00
30-Mar IFM Company $33.00 $56,753.00
Rent Expenses 6402

Date Particula Debit Credit Balance

1-Jan Balance $2,422.00 $0.00

Computer Supplies Expense 652

Date Particula Debit Credit Balance

1-Jan Balance $2,342.00 $0.00


Depreciation Expense - Computer

Date Particula Debit Credit Balance

1-Jan Balance $45,343.00 $0.00

Insurance Expenses 6327

Date Particula Debit Credit Balance


343
1-Jan Balance $0.00
Unearned Computer

Date Particula Debit Credit Balance

1-Jan Balance $8,767.00 $1,500.00

Depreciation Expense - Office Equipment 6127

Date Particula Debit Credit Balance


877
1-Jan Balance $7,878.00 $0.00
Accumulated Depreciation

Date Particula Debit Credit Balance

1-Jan Balance $587.00

Wages Payable 2104

Date Particula Debit Credit Balance

1-Jan Balance $500.00


4-Jan Cash $87,887.00 ###
Repair Expenses

Date Particula Debit Credit Balance

1-Jan Balance $0.00


11-Mar Cash $3,565.00 $3,565.00

Accumulated Depreciation

Date Particula Debit Credit Balance

1-Jan Balance $43,356.00


Miscellaneous

Date Particula Debit Credit Balance

1-Jan Balance $88.00 $88.00


Mileage

Date Particula Debit Credit Balance

1-Jan Balance $0.00


27-Feb Cash $857.00 $857.00
31-Mar Cash $85,787.00 ###
Advertising

Date Particula Debit Credit Balance

1-Jan Balance $746.00 $0.00


5-Feb Cash $765.00 $765.00
Expenses

Date Particula Debit Credit Balance

1-Jan Balance $0.00


4-Jan Cash $125.00 $242.00 -$117.00
31-Jan Cash ### $4,242.00 ###
26-Feb Cash $242.00 ###
Computer Revenue 4035325

Date Particula Debit Credit Balance

1-Jan Balance $0.00


11-Jan Alex Engineering $979.00 $979.00
16-Jan Cash $79,779.00 ###
16-Mar Cash $9,797.00 ###
24-Mar Easy Leasing $9,047.00 ###
S. Rey, Withdra33

Date Particula Debit Credit Balance

1-Jan Balance $0.00


15-Feb Cash $3,533.00 $35,335.00
S. Rey, Capital 3013

Date Particula Debit Credit Balance

1-Jan Balance $803,603.00


Accounts Payable 201234

Date Particula Debit Credit Balance

1-Jan Balance $1,100.00


7-Jan Merchandise Inventor $5,800.00 $242.00
17-Jan Cash $464.00 $242.00
17-Jan Merchandi $464.00 -$222.00
26-Jan Merchandise Inventor $9,000.00 $242.00
3-Feb Cash $464.00 $706.00
3-Feb Merchandise Inventor $85.04 $4,454.00
8-Mar Computer Supplies $464,564.00 ###
19-Mar Cash $464.00 ###
Computer Equipment 167423

Date Particula Debit Credit Balance

1-Jan Balance $42,424.00


Office Equipment 163

Date Particula Debit Credit Balance

1-Jan Balance $24,324.00


Prepaid Rent 131

Date Particula Debit Credit Balance

1-Jan Balance $434.00


1-Feb Cash $23,423.00 $23,857.00
Prepaid Insurance 12824

Date Particula Debit Credit Balance

1-Jan Balance $342.00


Computer Supplies 126w

Date Particula Debit Credit Balance

1-Jan Balance $580.00


8-Mar Accounts $43,245.00 $43,825.00
Cash 101

Date Particulars Debit Credit Balance

1-Jan Balance $42.00


4-Jan Wages Payable $2,582.00
4-Jan Wages Expenses
5-Jan S. Rey, Capital
9-Jan Gomez Co. $88.00
15-Jan Merchandise Inventory $858.00
16-Jan Computer Service Revenue $121.00
17-Jan Accounts Payable
22-Jan Liu Corp
31-Jan Wages Expenses
1-Feb Prepaid Rent $442.00
3-Feb Accounts Payable
5-Feb Advertising Expense
11-Feb Alex Engineering
15-Feb S.Rey, Withdrawals $88.00
26-Feb Wages Expenses
27-Feb Mileage Expense $8,528.00 $2,258.00
9-Mar Delta Inc.
11-Mar Repair Expenses-Computer $8,258.00
16-Mar Computer Service Revenue
19-Mar Accounts Payable $8,258.00
Work Sheet in the books of Das

Account No. Particulars Unadjusted Trial Balance


Debit

101 Cash $8,258.00


119 Merchandise Inventory $850.96
126 Computer Supplies $43,825.00
128 Prepaid Insurance $342.00
131 Prepaid Rent $23,857.00
163 Office Equipment $24,324.00
167 Computer Equipment $42,424.00
201 Accounts Payable
301 S. Rey, Capital
302 S. Rey, Withdrawals $35,335.00
403 Computer Service Revenue
623 Wages Expense -$2,867.00
655 Advertising Expense $765.00
676 Mileage Expense $86,644.00
677 Miscellaneous Expense $88.00
684 Repairs Expense - Computer $3,565.00
164 Accumulated Depreciation - Office Equipment
168 Accumulated Depreciation - Computer Equipment
210 Wages Payable
236 Unearned Computer Service Revenue
612 Depreciation - Office Equipment $0.00
613 Depreciation - Computer Equipment $0.00
637 Insurance Expense $0.00
640 Rent Expense $0.00
652 Computer Supplies Expense $0.00
413 Sales
414 Sales returns and allowances $78.00
415 Sales discounts $787.00
502 Cost of goods sold $13,624.00
106.1 Alex's Engineering Co. $5,623.00
106.2 Wildcat Service $2,432.00
106.3 Easy Leasing $232.00
106.4 IFM Co. $537,543.00
106.5 Liu Corp -$258.00
106.6 Gomez Co. -$564.00
106.7 Delta Co. -$797.00
106.8 KC. Inc. $353.00
106.9 Dream. Inc. $0.00

Total $826,463.96
in the books of Das

nadjusted Trial Balance Adjustments Adjusted Trial Balance


Credit Debit Credit Debit Credit

$8,258.00
$146.96 $704.00
### $2,005.00
$555.00 -$213.00
$2,475.00 $21,382.00
$24,324.00
$42,424.00
$469,482.00 $469,482.00
$803,603.00 $803,603.00
$35,335.00
$99,602.00 $99,602.00
$875.00 -$1,992.00
$765.00
$86,644.00
$88.00
$3,565.00
$43,356.00 $400.00 $43,756.00
$587.00 $1,250.00 $1,837.00
-$87,387.00 $875.00 -$86,512.00
$1,500.00 $1,500.00
$400.00 $400.00
$1,250.00 $1,250.00
$555.00 $555.00
$2,475.00 $2,475.00
### $41,820.00
$56,753.00 $56,753.00
$78.00
$787.00
$146.96 $13,770.96
$5,623.00
$2,432.00
$232.00
$537,543.00
-$258.00
-$564.00
-$797.00
$353.00
$0.00

$1,387,496.00 ### ### $828,988.96 ###


Liabilities:

Accounts Payable $686.00


Wages Payable $68.00
Unearned Computer Service Revenue $1,500.00

Total Liabilities $2,254.00

Owner's Equity: -$35,051.00

Total Liabilities & Owner's Equity -$32,797.00


Balance Sheet in the books

Particulars Amount

Assets:

Cash $8,258.00
Merchandise Inventory $4,232.00
Computer Supplies $2,005.00
Prepaid Insurance $24.00
Prepaid Rent $21,382.00
Accounts Receivable $64.00

Total Current Assets $35,965.00

Office Equipment $24,324.00


Accumulated Depreciation - Office Equipment $43,756.00 -$19,432.00
$4.00
Computer Equipment $42,424.00
Accumulated Depreciation - Computer Equipment $64.00 $42,360.00

Total Fixed Assets $22,928.00

Total Assets $58,893.00


Statement of Owner's Equity in

Particula Amount

S. Rey, Ca $282.00
S. Rey, W $35,335.00
Net Incom $2.00

S. Rey, Ca -$35,051.00
Income Statement in the books of wsd

Particula Amount

Computer Service Rev $99,602.00


Sales $2,432.00
Sales retu $78.00
Sales disc $42.00
Net Sales $2,312.00

Expenses:

Cost of go $44,528.00
Wages Ex -$1,992.00
Advertisi $44.00
Mileage E $86,644.00
Miscellan $5,858.00
Repairs E $423.00
Depreciat $588.00
Depreciat $1,250.00
Insurance $555.00
Rent Expe $2,475.00
Computer $4.00

Total Expenses $140,377.00

Net Income -$38,463.00


Work Sheet in the books of wes

Account Particula
Unadjusted Trial Balance Adjustments Adjusted Trial Balance
Debit Credit Debit Credit Debit Credit

101 Cash $0.00 $0.00


119 Merchandi $32.00 $242.00 -$672.00 $704.00
126 Computer $0.00 -$2,005.00 $2,005.00
128 Prepaid In $3,232.00 $232.00 $22.00 $3,210.00
131 Prepaid R $242.00 $2,475.00 -$2,233.00
106.2 Wildcat S $0.00 $0.00
106.3 Easy Leas $32.00 $24.00 $56.00
106.4 IFM Co. $232.00 $24.00 $242.00 $256.00
106.5 Liu Corp $54.00 $54.00
106.6 Gomez Co $232.00 $232.00
106.7 Delta Co. $0.00 $0.00
106.8 KC. Inc. $0.00 $0.00
106.9 Dream. In $232.00 $232.00

Total $4,288.00 $0.00 $522.00 $62.00 $4,516.00 $0.00

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