Directions: Journalize the following business transactions in general journal form. Identify each transaction by number. You may omit explanations of the transactions. 1. The owner, Mike Derby, invests 35,000 in cash in starting a real estate office operating as a sole proprietorship. 2. Purchased 400 of office supplies on credit. 3. Purchased office equipment for $8,000, paying 2,000 in cash and signed a 30-day, 6,000, note payable. 4. Real estate commissions billed to clients amount to 4,000. 5. Paid 700 in cash for the current month's rent. 6. Paid 200 cash on account for office supplies purchased in transaction 2. 7. Received a bill for 600 for advertising for the current month. 8. Paid 2,200 cash for office salaries. 9. Derby withdrew 1,200 from the business for living expenses. 10. Received a check for 3,000 from a client in payment on account for commissions billed in transaction 4. Use the following accounts: Cash; Accounts Receivable; Office Supplies; Office Equipment; Accounts Payable; Notes Payable; Real Estate Commission Revenue; Debry, Drawing; Debry, Capital; Rent Expense; Advertising Expense; and Office Salaries Expense.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
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Directions: Journalize the following business transactions in general journal form. Identify each transaction by number. You may
omit explanations of the transactions.
1. The owner, Mike Derby, invests 35,000 in cash in starting a real estate office operating as a sole proprietorship.
2. Purchased 400 of office supplies on credit.
3. Purchased office equipment for $8,000, paying 2,000 in cash and signed a 30-day, 6,000, note payable.
4. Real estate commissions billed to clients amount to 4,000.
5. Paid 700 in cash for the current month's rent.
6. Paid 200 cash on account for office supplies purchased in transaction 2.
7. Received a bill for 600 for advertising for the current month.
8. Paid 2,200 cash for office salaries.
9. Derby withdrew 1,200 from the business for living expenses.
10. Received a check for 3,000 from a client in payment on account for commissions billed in transaction 4.
Use the following accounts: Cash; Accounts Receivable; Office Supplies; Office Equipment; Accounts Payable; Notes
Payable; Real Estate Commission Revenue; Debry, Drawing; Debry, Capital; Rent Expense; Advertising Expense; and
Office Salaries Expense.

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