File Edit View History Bookmarks Profiles Tab Window inbox (228) ab X ACC101 Principle X (4726) IFRS vs. GX Help Accounting101 Ex × Accounting 101 Ex x WiConnect - Home ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Fbb.mwcc.edu%252Fweb apter 7 Homework LO 5 Part 2 of 2 29.23 points Mc Graw Hill ← Saved Wiset Company completes these transactions during April of the current year (the terms of all its credit sales are 2/10, n/30). April 2 April 3 (a) April 3 (b) April 4 April 5 April 6 April 9 April 11 April 12 Purchased $14,000 of merchandise on credit from Noth Company, terms 2/10, n/60. Sold merchandise on credit to Page Alistair, Invoice Number 760, for $8,000 (cost is $7,000). Purchased $1,570 of office supplies on credit from Custer, Incorporated, terms n/30. Issued Check Number 587 to World View for advertising expense of $913. Sold merchandise on credit to Paula Kohr, Invoice Number 761, for $17,000 (cost is $15,500). Returned $80 of office supplies purchased on April 3 to Custer, Incorporated. Wiset reduces accounts payable by that amount. Purchased $12, 125 of store equipment on credit from Hal's Supply, terms n/30. Sold merchandise on credit to Nic Nelson, Invoice Number 762, for $20,300 (cost is $16,800). Issued Check Number 588 to Noth Company in payment of its April 2 purchase less the discount of $280. April 13 (a) Received payment from Page Alistair for the April 3 sale less the discount of $160. April 13 (b) Sold $11,400 of merchandise on credit to Page Alistair (cost is $9,900), Invoice Number 763. April 14 Received payment from Paula Kohr for the April 5 sale less the discount of $340. April 16 (a) Issued Check Number 589 for $11,250; payee is Payroll, in payment of sales salaries expense for . the first half of the month. April 16 (b) Cash sales for the first half of the month are $53,140 (cost is $36,180). These cash sales are April 17 April 18 April 20 (a) April 20 (b) April 23 (a) April 23 (b) April 25 April 26 April 27 (a) April 27 (b) April 38 (a) April 38 (b) recorded in the cash receipts journal on April 16. Purchased $13,650 of merchandise on credit from Grant Company, terms 2/10, n/30. Borrowed $60,000 cash from First State Bank by signing a long-term note payable. Received payment from Nic Nelson for the April 11 sale less the discount of $406. Purchased $830 of store supplies on credit from Hal's Supply, terms n/30. Returned $650 of defective merchandise purchased on April 17 to Grant Company. Wiset reduces accounts payable by that amount. Received payment from Page Alistair for the April 13 sale less the discount of $228. Purchased $10,875 of merchandise on credit from Noth Company, terms 2/10, n/60. Issued Check Number 590 to Grant Company in payment of its April 17 invoice less the return and the $260 discount. Sold $6,348 of merchandise on credit to Paula Kohr, Invoice Number 764 (cost is $5,690). Sold $13,488 of merchandise on credit to Nic Nelson, Invoice Number 765 (cost is $11,005). Issued Check Number 591 for $11,250; payee is Payroll, in payment of the sales salaries expense for the last half of the month. Cash sales for the last half of the month are $73,975 (cost is $58,900). These cash sales are recorded in the cash receipts journal on April 30. ? 17 < Prev 5 of 7 Next > tv A rome History View Edit File Bookmarks Profiles Tab Window Help Inbox (228) - ab X NACC101 Principle x (4726) IFRS vs. C × Accounting101 Ex x Accounting 101 Ex X iConnect-Home M Question 5-0 Help Save & E ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Fbb.mwcc.edu%252Fwebapps%252Fblac... 0 Chapter 7 Homework 5 Part 2 of 2 29.23 points Required information Saved 1-b. Enter the transactions of the Wiset Company that should be journalized in the cash payments journal. 1-c. Prepare a general journal. Enter the transaction of the Wiset Company that should be journalized in the general journal. 2. Enter the March 31 balances of Cash ($91,000), Inventory ($182,000), Long-Term Notes Payable ($173,000), and B. Wiset, Capital ($100,000). Post the total amounts from the journal in the respective general ledger accounts. 3. Enter the March 31 balances of Cash ($91,000), Inventory ($182,000), Long-Term Notes Payable ($173,000), and B. Wiset, Capital ($100,000). Post the total amounts from the journal in the respective accounts payable subsidiary ledger accounts for Hal's Supply. Noth Company, Grant Company and Custer, Incorporated. 4-a. Prepare a trial balance of the general ledger accounts. 4-b. Prepare a schedule of accounts payable. Complete this question by entering your answers in the tabs below. 이 References Mc Graw Req 1A Req 18 Req 1C Req 2 Req 3 Req 4A Req 4B Che Enter the March 31 balances of Cash ($91,000), Inventory ($182,000), Long-Term Notes Payable ($173,000), and B. Wiset, Capital ($100,000). Post the total amounts from th general ledger accounts. Date March 31 April 30 Cash Payments Journal April 30 Purchases Journal ? → C GENERAL LEDGER Cash Inventory Debit Credit Balance Date Debit Credit Balance March 31 Office Supplies < Prev 5 of 7 Next > 17 G Search or type URL tv Store Supplies A Aa

FINANCIAL ACCOUNTING
10th Edition
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Chapter1: Financial Statements And Business Decisions
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Wiset Company completes these transactions during April of the current year (the terms of all its credit sales are 2/10,
n/30).
April 2
April 3 (a)
April 3 (b)
April 4
April 5
April 6
April 9
April 11
April 12
Purchased $14,000 of merchandise on credit from Noth Company, terms 2/10, n/60.
Sold merchandise on credit to Page Alistair, Invoice Number 760, for $8,000 (cost is $7,000).
Purchased $1,570 of office supplies on credit from Custer, Incorporated, terms n/30.
Issued Check Number 587 to World View for advertising expense of $913.
Sold merchandise on credit to Paula Kohr, Invoice Number 761, for $17,000 (cost is $15,500).
Returned $80 of office supplies purchased on April 3 to Custer, Incorporated. Wiset reduces
accounts payable by that amount.
Purchased $12, 125 of store equipment on credit from Hal's Supply, terms n/30.
Sold merchandise on credit to Nic Nelson, Invoice Number 762, for $20,300 (cost is $16,800).
Issued Check Number 588 to Noth Company in payment of its April 2 purchase less the discount of
$280.
April 13 (a) Received payment from Page Alistair for the April 3 sale less the discount of $160.
April 13 (b) Sold $11,400 of merchandise on credit to Page Alistair (cost is $9,900), Invoice Number 763.
April 14 Received payment from Paula Kohr for the April 5 sale less the discount of $340.
April 16 (a) Issued Check Number 589 for $11,250; payee is Payroll, in payment of sales salaries expense for
. the first half of the month.
April 16 (b) Cash sales for the first half of the month are $53,140 (cost is $36,180). These cash sales are
April 17
April 18
April 20 (a)
April 20 (b)
April 23 (a)
April 23 (b)
April 25
April 26
April 27 (a)
April 27 (b)
April 38 (a)
April 38 (b)
recorded in the cash receipts journal on April 16.
Purchased $13,650 of merchandise on credit from Grant Company, terms 2/10, n/30.
Borrowed $60,000 cash from First State Bank by signing a long-term note payable.
Received payment from Nic Nelson for the April 11 sale less the discount of $406.
Purchased $830 of store supplies on credit from Hal's Supply, terms n/30.
Returned $650 of defective merchandise purchased on April 17 to Grant Company. Wiset reduces
accounts payable by that amount.
Received payment from Page Alistair for the April 13 sale less the discount of $228.
Purchased $10,875 of merchandise on credit from Noth Company, terms 2/10, n/60.
Issued Check Number 590 to Grant Company in payment of its April 17 invoice less the return and
the $260 discount.
Sold $6,348 of merchandise on credit to Paula Kohr, Invoice Number 764 (cost is $5,690).
Sold $13,488 of merchandise on credit to Nic Nelson, Invoice Number 765 (cost is $11,005).
Issued Check Number 591 for $11,250; payee is Payroll, in payment of the sales salaries expense
for the last half of the month.
Cash sales for the last half of the month are $73,975 (cost is $58,900). These cash sales are
recorded in the cash receipts journal on April 30.
?
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Transcribed Image Text:File Edit View History Bookmarks Profiles Tab Window inbox (228) ab X ACC101 Principle X (4726) IFRS vs. GX Help Accounting101 Ex × Accounting 101 Ex x WiConnect - Home ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Fbb.mwcc.edu%252Fweb apter 7 Homework LO 5 Part 2 of 2 29.23 points Mc Graw Hill ← Saved Wiset Company completes these transactions during April of the current year (the terms of all its credit sales are 2/10, n/30). April 2 April 3 (a) April 3 (b) April 4 April 5 April 6 April 9 April 11 April 12 Purchased $14,000 of merchandise on credit from Noth Company, terms 2/10, n/60. Sold merchandise on credit to Page Alistair, Invoice Number 760, for $8,000 (cost is $7,000). Purchased $1,570 of office supplies on credit from Custer, Incorporated, terms n/30. Issued Check Number 587 to World View for advertising expense of $913. Sold merchandise on credit to Paula Kohr, Invoice Number 761, for $17,000 (cost is $15,500). Returned $80 of office supplies purchased on April 3 to Custer, Incorporated. Wiset reduces accounts payable by that amount. Purchased $12, 125 of store equipment on credit from Hal's Supply, terms n/30. Sold merchandise on credit to Nic Nelson, Invoice Number 762, for $20,300 (cost is $16,800). Issued Check Number 588 to Noth Company in payment of its April 2 purchase less the discount of $280. April 13 (a) Received payment from Page Alistair for the April 3 sale less the discount of $160. April 13 (b) Sold $11,400 of merchandise on credit to Page Alistair (cost is $9,900), Invoice Number 763. April 14 Received payment from Paula Kohr for the April 5 sale less the discount of $340. April 16 (a) Issued Check Number 589 for $11,250; payee is Payroll, in payment of sales salaries expense for . the first half of the month. April 16 (b) Cash sales for the first half of the month are $53,140 (cost is $36,180). These cash sales are April 17 April 18 April 20 (a) April 20 (b) April 23 (a) April 23 (b) April 25 April 26 April 27 (a) April 27 (b) April 38 (a) April 38 (b) recorded in the cash receipts journal on April 16. Purchased $13,650 of merchandise on credit from Grant Company, terms 2/10, n/30. Borrowed $60,000 cash from First State Bank by signing a long-term note payable. Received payment from Nic Nelson for the April 11 sale less the discount of $406. Purchased $830 of store supplies on credit from Hal's Supply, terms n/30. Returned $650 of defective merchandise purchased on April 17 to Grant Company. Wiset reduces accounts payable by that amount. Received payment from Page Alistair for the April 13 sale less the discount of $228. Purchased $10,875 of merchandise on credit from Noth Company, terms 2/10, n/60. Issued Check Number 590 to Grant Company in payment of its April 17 invoice less the return and the $260 discount. Sold $6,348 of merchandise on credit to Paula Kohr, Invoice Number 764 (cost is $5,690). Sold $13,488 of merchandise on credit to Nic Nelson, Invoice Number 765 (cost is $11,005). Issued Check Number 591 for $11,250; payee is Payroll, in payment of the sales salaries expense for the last half of the month. Cash sales for the last half of the month are $73,975 (cost is $58,900). These cash sales are recorded in the cash receipts journal on April 30. ? 17 < Prev 5 of 7 Next > tv A
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1-b. Enter the transactions of the Wiset Company that should be journalized in the cash payments journal.
1-c. Prepare a general journal. Enter the transaction of the Wiset Company that should be journalized in the general journal.
2. Enter the March 31 balances of Cash ($91,000), Inventory ($182,000), Long-Term Notes Payable ($173,000), and B. Wiset, Capital
($100,000). Post the total amounts from the journal in the respective general ledger accounts.
3. Enter the March 31 balances of Cash ($91,000), Inventory ($182,000), Long-Term Notes Payable ($173,000), and B. Wiset, Capital
($100,000). Post the total amounts from the journal in the respective accounts payable subsidiary ledger accounts for Hal's Supply.
Noth Company, Grant Company and Custer, Incorporated.
4-a. Prepare a trial balance of the general ledger accounts.
4-b. Prepare a schedule of accounts payable.
Complete this question by entering your answers in the tabs below.
이
References
Mc
Graw
Req 1A
Req 18
Req 1C
Req 2
Req 3
Req 4A
Req 4B
Che
Enter the March 31 balances of Cash ($91,000), Inventory ($182,000), Long-Term Notes Payable ($173,000), and B. Wiset, Capital ($100,000). Post the total amounts from th
general ledger accounts.
Date
March 31
April 30 Cash Payments Journal
April 30 Purchases Journal
?
→
C
GENERAL LEDGER
Cash
Inventory
Debit
Credit
Balance
Date
Debit
Credit
Balance
March 31
Office Supplies
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Transcribed Image Text:rome History View Edit File Bookmarks Profiles Tab Window Help Inbox (228) - ab X NACC101 Principle x (4726) IFRS vs. C × Accounting101 Ex x Accounting 101 Ex X iConnect-Home M Question 5-0 Help Save & E ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Fbb.mwcc.edu%252Fwebapps%252Fblac... 0 Chapter 7 Homework 5 Part 2 of 2 29.23 points Required information Saved 1-b. Enter the transactions of the Wiset Company that should be journalized in the cash payments journal. 1-c. Prepare a general journal. Enter the transaction of the Wiset Company that should be journalized in the general journal. 2. Enter the March 31 balances of Cash ($91,000), Inventory ($182,000), Long-Term Notes Payable ($173,000), and B. Wiset, Capital ($100,000). Post the total amounts from the journal in the respective general ledger accounts. 3. Enter the March 31 balances of Cash ($91,000), Inventory ($182,000), Long-Term Notes Payable ($173,000), and B. Wiset, Capital ($100,000). Post the total amounts from the journal in the respective accounts payable subsidiary ledger accounts for Hal's Supply. Noth Company, Grant Company and Custer, Incorporated. 4-a. Prepare a trial balance of the general ledger accounts. 4-b. Prepare a schedule of accounts payable. Complete this question by entering your answers in the tabs below. 이 References Mc Graw Req 1A Req 18 Req 1C Req 2 Req 3 Req 4A Req 4B Che Enter the March 31 balances of Cash ($91,000), Inventory ($182,000), Long-Term Notes Payable ($173,000), and B. Wiset, Capital ($100,000). Post the total amounts from th general ledger accounts. Date March 31 April 30 Cash Payments Journal April 30 Purchases Journal ? → C GENERAL LEDGER Cash Inventory Debit Credit Balance Date Debit Credit Balance March 31 Office Supplies < Prev 5 of 7 Next > 17 G Search or type URL tv Store Supplies A Aa
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