1. When posting all transactions to the ledgers, the cash account will show a total amount in the credit side of A. 118,200 B. 362,000 C. 243,800 D. 100,000 2. What is the final balance of the cash account after posting all related transactions to the ledger and after taking the difference between the total debits and credits? A. 243,800 credit balance B. 243,800 debit balance C. 362,000 debit balance D. 362,000 credit balance 3. After posting all related transactions to the ledger, the service revenue account will show a total balance of A. 82,000 debit B. 58,000 debit C. 82,000 credit D. 58,000 credit
1. When posting all transactions to the ledgers, the cash account will show a total amount in the credit side of A. 118,200 B. 362,000 C. 243,800 D. 100,000 2. What is the final balance of the cash account after posting all related transactions to the ledger and after taking the difference between the total debits and credits? A. 243,800 credit balance B. 243,800 debit balance C. 362,000 debit balance D. 362,000 credit balance 3. After posting all related transactions to the ledger, the service revenue account will show a total balance of A. 82,000 debit B. 58,000 debit C. 82,000 credit D. 58,000 credit
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
Related questions
Topic Video
Question
1. When posting all transactions to the ledgers, the cash account will show a total amount in the credit side of
A. 118,200
B. 362,000
C. 243,800
D. 100,000
2. What is the final balance of the cash account after posting all related transactions to the ledger and after taking the difference between the total debits and credits?
A. 243,800 credit balance
B. 243,800 debit balance
C. 362,000 debit balance
D. 362,000 credit balance
3. After posting all related transactions to the ledger, the service revenue account will show a total balance of
A. 82,000 debit
B. 58,000 debit
C. 82,000 credit
D. 58,000 credit

Transcribed Image Text:Activity 1- ACCHT 221 - RECORDING TRANSACTIONS ; POSTING TO LEDGER AND PREPARATION OF TRIAL BALANCI
Remy opened her Tours4Fun business. During the first month, January, she completed the following transactions:
Began business by investing cash of P300,000 a office equipment valued at P40,000, shop furniture worth
a.
P 65,000.
Paid rent for the month, P20,000.
b.
Bought additional office equipment from Kapamilya Store on credit, P25,000.
Bought shop supplies for cash P8,000.
Received P20,000 from Sally for passporting services rendered.
Purchased another office equipment for cash for P18,000.
Completed work for Novy on credit, at P38,000.
Paid telephone and internet services worth P5,200.
Paid Kapamilya store in full.
Received cash from customers for services rendered worth P24,000.
с.
d.
е.
f.
g.
h.
i.
j.
Received P18,000 from Novy as partial payment of the amount she owes the Tours4Fun.
Paid the salary of the office staff, P15,000.
k.
I.
Bought another shop furniture worth P10,000 on credit.
Miscellaneous expenses paid during the month were paid worth P27,000.
m.
n.
Using the following Account Titles, answer the questions found in the attached google forms.
ACCOUNT TITLES:
Cash
Accounts receivable
Shop supplies
Office equipment
Shop furniture
Accounts payable
Remy, capital
Service revenue
Rent expense
Telephone and wifi expense
Salary expense
Miscellaneous expense
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