On March 12, Medical Waste Services provides services on account to Grace Hospital for $11,000, terms 2/10, n/30. Grace pays for those services on March 20. Required: For Medical Waste Services, record the service on account on March 12 and the collection of cash on March 20.
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On March 12, Medical Waste Services provides services on account to Grace Hospital for $11,000, terms 2/10, n/30. Grace pays for those services on March 20.
Required:
For Medical Waste Services, record the service on account on March 12 and the collection of cash on March 20.
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- On March 12, Medical Waste Services provides services on account to Grace Hospital for $10,700, terms 2/10, n/30. Grace does not pay for services until March 31, missing the 2% sales discount. Required: For Medical Waste Services, record the service on account on March 12 and the collection of cash on March 31. (If no entry is required for a particular transaction/event, select "No Journal Entry Required" in the first account field.)Oswego Clay Pipe Company provides services of $46,000 to Southeast Water District #45 on April 12 of the current year with terms 1/15, n/60. What would Oswego record on April 23, assuming the customer made the correct payment on that date? A. Cash Sales Revenue Accounts Receivable B. Cash Sales Discounts Accounts Receivable Interest Revenue C. Cash Sales Discounts Accounts Receivable D. Cash Accounts Receivable Sales Revenue Select one: O A. Option A OB. Option B O C. Option C OD. Option D Clear my choice 45,540 460 46,000 460 45,540 460 46,000 46,000 46,000 460 46,000 45,540 460CASH SHORT AND OVER ENTRIES Based on the following information, prepare the weekly entries for cash receipts from service fees and cash short and over. A change fund of 100 is maintained.
- Catherines Cookies has a beginning balance in the Accounts Payable control total account of $8,200. In the cash disbursements journal, the Accounts Payable column has total debits of $6,800 for November. The Accounts Payable credit column in the purchases journal reveals a total of $10,500 for the current month. Based on this information, what is the ending balance in the Accounts Payable account in the general ledger?Hartman Company, which uses a voucher system, has the following unpaid vouchers on July 1. The firm follows the practice of recording vouchers at the gross amount. The company completed the following transactions during July: July 1Issued voucher no. 4800 in favor of Mortenson Insurance Company for a premium on a 12-month fire insurance policy, 890. 2Paid voucher no. 4789 by issuing Ck. No. 8219, 4,996. 2Issued Ck. No. 8220 in payment of voucher no. 4800, 890. 3Issued voucher no. 4801 in favor of Quinn Quick Freight for transportation charges on merchandise purchases, 223. 5Paid voucher no. 4801 by issuing Ck. No. 8221, 223. 7Issued Ck. No. 8222 in payment of voucher no. 4795, 8,485.29 (8,571 less 1 percent cash discount). 8Issued Ck. No. 8223 in payment of voucher no. 4797, 10,602.90 (10,710 less 1 percent cash discount). 11Established a petty cash fund of 250. Issued voucher no. 4802. 11Paid voucher no. 4802 by issuing Ck. No. 8224, 250. 13Issued voucher no. 4803 in favor of Mohammad Company for merchandise, 14,708; terms 2/10, n/30; FOB shipping point; freight prepaid and added to the invoice, 384 (total, 15,092). 15Received bill for advertising in the Weekly Ads. Issued voucher no. 4804 in the amount of 410. 17Received a credit memo for 764 from Mohammad Company for merchandise returned to it, credit memo no. 540 (pertaining to voucher no. 4803). 20Issued voucher no. 4805 in favor of Vinson County for six months property tax (Prepaid Property Taxes), 2,272. 20Paid voucher no. 4805 by issuing Ck. No. 8225, 2,272. 21Issued Ck. No. 8226 in payment of voucher no. 4803, 14,049.12 (14,708 less 764 return, less cash discount, plus freight). 23Bought merchandise on account from Summers and Company, 6,039; terms 1/10, n/30; FOB destination. Issued voucher no. 4806. 27Received a credit memo for 984 from Summers and Company for damaged merchandise, credit memo no. 437 (pertaining to voucher no. 4806). 31Issued voucher no. 4807 to reimburse petty cash fund. The charges were: July 31Issued Ck. No. 8227 in payment of voucher no. 4807, 225.10. 31Issued voucher no. 4808 for wages payable, 8,448, in favor of the payroll bank account. (Assume that the payroll entry was recorded previously in the general journal.) 31Paid voucher no. 4808 by issuing Ck. No. 8228, payable to Payroll Bank Account. Required 1. Using the voucher issue date, enter the unpaid invoices in the voucher register (page 75) beginning with voucher no. 4789. Then draw double lines across all columns to separate the vouchers of June from those of July. 2. Enter the transactions for July in the voucher register at the gross amount. Also record the appropriate transactions in the check register (page 86) and the general journal (page 41). 3. Total and rule the voucher register and the check register for the transactions recorded during July. 4. Prove the equality of the debits and credits on the voucher register and the check register.Loucks Company established a $200 petty cash fund on October 2, 2018. The fund is replenished at the end ofeach month. At the end of October 2018, the fund contained $37 in cash and the following receipts:Office supplies $76Lunch with client 48Postage 20Miscellaneous 19Required:Prepare the necessary general journal entries to establish the petty cash fund on October 2 and to replenish thefund on October 31.
- Rapid Delivery Services establishes a Change Fund of $200. At the end of the day, Rapid Delivery Services had $1,230 on hand. The journal entry to record the day’s receipts would include a:On March 19 Gunderson’s Hardware received a $20,800 invoice dated March 15. Cash discount terms were 3/10, n/30. On March 24, Gunderson sent an $8,320 partial payment. What is the outstanding amount due on this invoice? What is the outstanding on this invoice?Ben City issued a purchase order on 05/10/19 for supplies with an estimated cost of $8600. An Encumbrance of $8600 was recorded at that time. When the supplies and accompanying invoice were received on 08/13/19, the invoice indicated a $9200 actual price. For what amount should Ben City credit ENCUMBRANCES on 08/13/19? BE SURE TO TYPE A SIMPLE NUMBER WITH NO COMMAS OR DOLLAR SIGNS. FOR EXAMPLE, TYPE 1000 INSTEAD OF $1,000. Your Answer:
- Catherine's cookies has a beginning balance in the account payable control total account of $8,200. In the cash disbursements journal, the account payable column has total debits of $6,800 for November. The accounts payable credit column in the purchases journal reveals a total of $10,500 for the current month. Based on this information what is the ending balance in the accounts payable account in the general ledger?Catherine’s Cookies has a beginning balance in the Accounts Payable control total account of $8,200. In the cash disbursements journal, the Accounts Payable column has total debits of $6,800 for November. The Accounts Payable credit column in the purchases journal reveals a total of $10,500 for the current month. Based on this information, what is the ending balance in the Accounts Payable account in the general ledger? Record the following transactions in the sales journal: Jan. 15 Invoice # 325, sold goods on credit for $2,400, to Maroon 4, account # 4501 Jan. 22 Invoice #326, sold goods on credit for $3,500 to BTS, account # 5032 Jan. 27 Invoice #327, sold goods on credit for $1,250 to Imagine Fireflies, account # 3896A local company received an invoice for $3,647.00 dated March 8 with terms 2/10, n/30. The company paid the bill March 15. What amount should be paid?