How to enter that transaction into a cash receipts journal and also into a cash payments journal
The Effect Of Prepaid Taxes On Assets And Liabilities
Many businesses estimate tax liability and make payments throughout the year (often quarterly). When a company overestimates its tax liability, this results in the business paying a prepaid tax. Prepaid taxes will be reversed within one year but can result in prepaid assets and liabilities.
Final Accounts
Financial accounting is one of the branches of accounting in which the transactions arising in the business over a particular period are recorded.
Ledger Posting
A ledger is an account that provides information on all the transactions that have taken place during a particular period. It is also known as General Ledger. For example, your bank account statement is a general ledger that gives information about the amount paid/debited or received/ credited from your bank account over some time.
Trial Balance and Final Accounts
In accounting we start with recording transaction with journal entries then we make separate ledger account for each type of transaction. It is very necessary to check and verify that the transaction transferred to ledgers from the journal are accurately recorded or not. Trial balance helps in this. Trial balance helps to check the accuracy of posting the ledger accounts. It helps the accountant to assist in preparing final accounts. It also helps the accountant to check whether all the debits and credits of items are recorded and posted accurately. Like in a balance sheet debit and credit side should be equal, similarly in trial balance debit balance and credit balance should tally.
Adjustment Entries
At the end of every accounting period Adjustment Entries are made in order to adjust the accounts precisely replicate the expenses and revenue of the current period. It is also known as end of period adjustment. It can also be referred as financial reporting that corrects the errors made previously in the accounting period. The basic characteristics of every adjustment entry is that it affects at least one real account and one nominal account.
![CASH RECEIPTS JOURNAL OF
GRJ
for
Sundry Accounts
Doc
No.
Details
Day
Analysis
Current
Details
Bank
Amount
Income
Receipt](/v2/_next/image?url=https%3A%2F%2Fcontent.bartleby.com%2Fqna-images%2Fquestion%2Ff375a628-7bb2-4687-a277-502343a1a10f%2F3176fd4c-6d83-42db-b9fc-b27b9d062438%2Fbju4ojj_processed.jpeg&w=3840&q=75)
![Transactions: May 2021
The owner, Ms. Rose Petals, contributed R80 000 as capital contribution.
Issued receipt no. 57.
3
Ms Petals purchased laundry machines from Machine Repairs and Suppliers
to the value of R23 000 and paid by cheque 01.
Paid Krugersdorp News R1 200 for the advert in the classifieds (cheque 02)
6.
According to the cash register roll, the business received R5 300 for services
rendered.
The Business Council donated R1 000 to the business as part of their
community project. Issue a receipt.
11 Cashed a cheque (Cheque 03) to pay the wages of her 2 workers. They
each earn R1000 per week.
12 Services rendered for the day, R4 560 as per cash register roll.
15 Bought washing liquid and softener from Sunshine Wholesalers, R6 200 and
paid by cheque.
18 The business received R2 400 for the washing and ironing of clothes.
. Mr. Lily White paid the business R3 190 for the rent.of part of the building.
Issue a receipt.
and R200 for the repair of a washing machine. Issued a cheque
26 Received R2 500 from Mr. Crinkly Cut for the washing and ironing of his
laundry for the month.
21
Paid Machine Repairs and Suppliers, R 800. R600 was for the new irons
30 Paid Mogale City for the water and electricity, R2 000 per cheque.](/v2/_next/image?url=https%3A%2F%2Fcontent.bartleby.com%2Fqna-images%2Fquestion%2Ff375a628-7bb2-4687-a277-502343a1a10f%2F3176fd4c-6d83-42db-b9fc-b27b9d062438%2Fcgihxxj_processed.jpeg&w=3840&q=75)
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