ADD a single-line rule above the totals and a double-line rule below the totals to indicate that the amount column totals have been verified as correct. On the example image you can see that some columns are mean't to be verified. Journal the following transactions related to the business Barbara’s Book Nook, a bookstore owned by Barbara Baker. August 1. Purchased merchandise for cash, $1,200.00. Check No. 121. August 9. Purchased merchandise on account from Book Wholesalers, $1,950.00. Purchase Invoice No. 132. August 14. Barbara Baker withdrew merchandise for personal use, $300.00. Memorandum No. 143. August 30. Recorded cash and credit card sales, $5,459.00, plus sales tax, $545.90. Cash Register Tape No. 124. Total the columns and prove and rule page 1 of the journal. Prove cash. The beginning cash balance on August 1 is $2,340.00. The balance on the next unused check stub is $7,144.90.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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ADD a single-line rule above the totals and a double-line rule below the totals to indicate that the amount column totals have been verified as correct. On the example image you can see that some columns are mean't to be verified.

  1. Journal the following transactions related to the business Barbara’s Book Nook, a bookstore owned by Barbara Baker.
  1. August 1. Purchased merchandise for cash, $1,200.00. Check No. 121.
  2. August 9. Purchased merchandise on account from Book Wholesalers, $1,950.00. Purchase Invoice No. 132.
  3. August 14. Barbara Baker withdrew merchandise for personal use, $300.00. Memorandum No. 143.
  4. August 30. Recorded cash and credit card sales, $5,459.00, plus sales tax, $545.90. Cash Register Tape No. 124.
  5. Total the columns and prove and rule page 1 of the journal.
  6. Prove cash. The beginning cash balance on August 1 is $2,340.00. The balance on the next unused check stub is $7,144.90.
verified
DATE
Apr. 21
Apr. 25
Apr. 30
Apr. 30
ACCOUNT TITLE
Brought Forward
Supplies
Totals
Prove Page 2 of the journal
General Debit
General Credit
Accounts Receivable Debit
Accounts Receivable Credit
Sales Credit
Sales Tax Payable Credit
Accounts Payable Debit
Accounts Payable Credit
Purchases Debit
Cash Debit
Cash Credit
Totals
Example
POS
T
PURCHASES
DOC.
ACCOUNTS RECEIVABLE
DEBIT
NO. REF. DEBIT
SALES
CREDIT
ACCOUNTS PAYABLE
DEBIT
CREDIT
CREDIT
CREDIT
DEBIT
DEBIT
CREDIT
✓
$3,360.00 $1,000.00 $ 831.60 $ 200.00 $4,242.00 $ 339.36 $2,000.00 $4,845.00 $4,350.00 $3,949.76 $3,865.00
$ 500.00
$ 500.00
GENERAL
C39
T22✓
$3,860.00 $1,000.00 $ 831.60 $ 200.00
Debit
$3,860.00
$ 831.60
$2,000.00
$4,350.00
$9,696.44
Credit
$1,000.00
$ 200.00
$9,563.00
$ 765.04
$4,845.00
SALES TAX
PAYABLE
CREDIT
$4,365.00
$20,738.04 $20,738.04
CASH
$5.321.00 $425.68
$5.746.68
$9,563.00 $765.04 $2,000.00 $4,845.00 $4,350.00 $9,696.44 $4,365.00
Transcribed Image Text:verified DATE Apr. 21 Apr. 25 Apr. 30 Apr. 30 ACCOUNT TITLE Brought Forward Supplies Totals Prove Page 2 of the journal General Debit General Credit Accounts Receivable Debit Accounts Receivable Credit Sales Credit Sales Tax Payable Credit Accounts Payable Debit Accounts Payable Credit Purchases Debit Cash Debit Cash Credit Totals Example POS T PURCHASES DOC. ACCOUNTS RECEIVABLE DEBIT NO. REF. DEBIT SALES CREDIT ACCOUNTS PAYABLE DEBIT CREDIT CREDIT CREDIT DEBIT DEBIT CREDIT ✓ $3,360.00 $1,000.00 $ 831.60 $ 200.00 $4,242.00 $ 339.36 $2,000.00 $4,845.00 $4,350.00 $3,949.76 $3,865.00 $ 500.00 $ 500.00 GENERAL C39 T22✓ $3,860.00 $1,000.00 $ 831.60 $ 200.00 Debit $3,860.00 $ 831.60 $2,000.00 $4,350.00 $9,696.44 Credit $1,000.00 $ 200.00 $9,563.00 $ 765.04 $4,845.00 SALES TAX PAYABLE CREDIT $4,365.00 $20,738.04 $20,738.04 CASH $5.321.00 $425.68 $5.746.68 $9,563.00 $765.04 $2,000.00 $4,845.00 $4,350.00 $9,696.44 $4,365.00
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