Cedar Springs Company completed the following selected transactions during June:June 1. Established a petty cash fund of $1,000.12. The cash sales for the day, according to the cash register records, totaled $9,440. The actual cash received from cash sales was $9,506.30. Petty cash on hand was $46. Replenished the petty cash fund for the following disbursements, each evidenced by a petty cash receipt:June 2. Store supplies, $375.10. Express charges on merchandise purchased, $105 (MerchandiseInventory).14. Office supplies, $85.15. Office supplies, $90.18. Postage stamps, $33 (Office Supplies).20. Repair to fax, $100 (Miscellaneous Administrative Expense).21. Repair to office door lock, $25 (Miscellaneous Administrative Expense).22. Postage due on special delivery letter, $9 (MiscellaneousAdministrative Expense).28. Express charges on merchandise purchased, $110 (MerchandiseInventory).30. The cash sales for the day, according to the cash register records, totaled $13,390. The actual cash received from cash sales was $13,350.30. Increased the petty cash fund by $200. Instructions Journalize the transactions.
Cedar Springs Company completed the following selected transactions during June:
June 1. Established a petty cash fund of $1,000.
12. The cash sales for the day, according to the cash register records, totaled $9,440. The actual cash received from cash sales was $9,506.
30. Petty cash on hand was $46. Replenished the petty cash fund for the following disbursements, each evidenced by a petty cash receipt:
June 2. Store supplies, $375.
10. Express charges on merchandise purchased, $105 (Merchandise
Inventory).
14. Office supplies, $85.
15. Office supplies, $90.
18. Postage stamps, $33 (Office Supplies).
20. Repair to fax, $100 (Miscellaneous Administrative Expense).
21. Repair to office door lock, $25 (Miscellaneous Administrative Expense).
22. Postage due on special delivery letter, $9 (Miscellaneous
Administrative Expense).
28. Express charges on merchandise purchased, $110 (Merchandise
Inventory).
30. The cash sales for the day, according to the cash register records, totaled $13,390. The actual cash received from cash sales was $13,350.
30. Increased the petty cash fund by $200.
Instructions
Journalize the transactions.
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