May 26: Refunded cash on sales made for cash, $7,500. The cost of the merchandise returned was $4,800. Description Post. Ref. Debit Credit Customers Refunds Payable 7,500 Cash 7,500 May 30: Received cash from sale of May 20 plus freight paid on May 21. Description Post. Ref. Debit Credit May 31: Paid for purchase of May 21, less return of May 24. Description Post. Ref. Debit Credit

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
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How to fill in these specific journal entries?

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Palisade Creek Co. is a merchandising business that uses the perpetual inventory system. The account balances for Palisade Creek Co. as of May 1, 2019 (unless otherwise indicated), are as follows:

110 Cash $83,600
112 Accounts Receivable 233,900
115 Merchandise Inventory 624,400
116 Estimated Returns Inventory 28,000
117 Prepaid Insurance 16,800
118 Store Supplies 11,400
123 Store Equipment 569,500
124 Accumulated Depreciation—Store Equipment 56,700
210 Accounts Payable 96,600
211 Customer Refunds Payable 50,000
212 Salaries Payable
310 Lynn Tolley, Capital, June 1, 2018 685,300
311 Lynn Tolley, Drawing 135,000
410 Sales 5,069,000
510 Cost of Merchandise Sold 2,823,000
520 Sales Salaries Expense 664,800
521 Advertising Expense 281,000
522 Depreciation Expense
523 Store Supplies Expense
529 Miscellaneous Selling Expense 12,600
530 Office Salaries Expense 382,100
531 Rent Expense 83,700
532 Insurance Expense
539 Miscellaneous Administrative Expense 7,800
May 26: Refunded cash on sales made for cash, $7,500. The cost of the merchandise returned was $4,800.
Description
Post. Ref.
Debit
Credit
Customers Refunds Payable
7,500
Cash
7,500
Transcribed Image Text:May 26: Refunded cash on sales made for cash, $7,500. The cost of the merchandise returned was $4,800. Description Post. Ref. Debit Credit Customers Refunds Payable 7,500 Cash 7,500
May 30: Received cash from sale of May 20 plus freight paid on May 21.
Description
Post. Ref.
Debit
Credit
May 31: Paid for purchase of May 21, less return of May 24.
Description
Post. Ref.
Debit
Credit
Transcribed Image Text:May 30: Received cash from sale of May 20 plus freight paid on May 21. Description Post. Ref. Debit Credit May 31: Paid for purchase of May 21, less return of May 24. Description Post. Ref. Debit Credit
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