1. Prepare a General ledger for thr following information below: Use the pictures as reference      J & M Accounting Services and Office Supplies, LLC Trial Balance January 1, 2022 Title Debit Credit Cash 9,200   Accounts Receivable 2,400   Merchandise Inventory 2,100*   Supplies 860   Equipment 23,000   Accumulated Depreciation   1,500 Accounts Payable   3,300 Unearned Service Revenue   3,600 Salaries and Wages Payable   2,485 Common Stock   20,000 Retained Earnings   6,675 Totals $37,560 $37,560 *(3,000 units at $0.70)       During the month of January, the following summary transactions were completed. 3     Paid January’s rent $350. 3    Purchased merchandise on account from dd’s Discount Supply terms 2/10, n/30. (4,000 units @ $0.75) 4    Sold 4,400 units of inventory for Cash at $0.96 each. (3,000 @ $0.70 and 1,400 @ $0.75) 7    Gave a January 4th customer $192 for 200 units returned costing $150. (Units were returned to inventory.) 7    Received $2,000 cash from customers in payment of account. (No Discounts) 10    Paid $3,550 for salaries due employees, of which $2,485 is for December and $1,065 is for January. 11    Paid $2,800 on account. (No Discounts) 12    Paid dd’s Discount Supply in full, less discount. 13    Purchased 5,000 units for inventory on account from Office Headquarters at $0.80 each. Terms 2/10, n30. 14    Sold 4,000 units of inventory to customers on account at $0.99 per unit. Terms 2/10, n30.              (Sold 2,800 units @ $0.75 and 1,200 units @ $0.80) 17    Received $5,450 Cash for services performed in January. 19    Purchased supplies on account $1,500. 24    Paid Salaries $3,550. 24    Received collections in full, less discount, from customers billed for sales on January 14th.   Round to Whole Dollars.    28    Performed services on account and billed customers $2,180. 28    Paid Office Headquarters in full. (No discount). 31    Received $1,500 from customers for services to be performed in the future.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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1. Prepare a General ledger for thr following information below:

Use the pictures as reference 

 

 

J & M Accounting Services and Office Supplies, LLC

Trial Balance

January 1, 2022

Title

Debit

Credit

Cash

9,200

 

Accounts Receivable

2,400

 

Merchandise Inventory

2,100*

 

Supplies

860

 

Equipment

23,000

 

Accumulated Depreciation

 

1,500

Accounts Payable

 

3,300

Unearned Service Revenue

 

3,600

Salaries and Wages Payable

 

2,485

Common Stock

 

20,000

Retained Earnings

 

6,675

Totals

$37,560

$37,560

*(3,000 units at $0.70)

 

 

 

During the month of January, the following summary transactions were completed.


3     Paid January’s rent $350.
3    Purchased merchandise on account from dd’s Discount Supply terms 2/10, n/30. (4,000 units @ $0.75)

4    Sold 4,400 units of inventory for Cash at $0.96 each. (3,000 @ $0.70 and 1,400 @ $0.75)

7    Gave a January 4th customer $192 for 200 units returned costing $150. (Units were returned to inventory.)

7    Received $2,000 cash from customers in payment of account. (No Discounts)

10    Paid $3,550 for salaries due employees, of which $2,485 is for December and $1,065 is for January.

11    Paid $2,800 on account. (No Discounts)

12    Paid dd’s Discount Supply in full, less discount.

13    Purchased 5,000 units for inventory on account from Office Headquarters at $0.80 each. Terms 2/10, n30.
14    Sold 4,000 units of inventory to customers on account at $0.99 per unit. Terms 2/10, n30.     
        (Sold 2,800 units @ $0.75 and 1,200 units @ $0.80)

17    Received $5,450 Cash for services performed in January.

19    Purchased supplies on account $1,500.

24    Paid Salaries $3,550.

24    Received collections in full, less discount, from customers billed for sales on January 14th.   Round to Whole Dollars.   

28    Performed services on account and billed customers $2,180.

28    Paid Office Headquarters in full. (No discount).

31    Received $1,500 from customers for services to be performed in the future.

12/27
12000
Totals
16600
13900
Balance
2700
Merchandise Inventory
Date
Debit
Credit
12/01
12000
12/10
4100
12/13
9000
12/18
8000
12/23
180
Totals
21000
12280
Balance
8720
Supplies
Date
Debit
Credit
12/01
1200
12/15
2000
Transcribed Image Text:12/27 12000 Totals 16600 13900 Balance 2700 Merchandise Inventory Date Debit Credit 12/01 12000 12/10 4100 12/13 9000 12/18 8000 12/23 180 Totals 21000 12280 Balance 8720 Supplies Date Debit Credit 12/01 1200 12/15 2000
General Ledger
Cash
Date
Debit
Credit
|12/01
7200
|12/06
1600
12/08
1900
12/10
6300
12/15
2000
12/20
1800
12/23
8820
12/27
|11640
Totals
27040
14220
Balance
12820
Accounts Receivable
Date
Debit
Credit
12/01
4600
Transcribed Image Text:General Ledger Cash Date Debit Credit |12/01 7200 |12/06 1600 12/08 1900 12/10 6300 12/15 2000 12/20 1800 12/23 8820 12/27 |11640 Totals 27040 14220 Balance 12820 Accounts Receivable Date Debit Credit 12/01 4600
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