Please Prepare Journal Entries

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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Please Prepare Journal Entries

Snip & Sketch
O New
Buddy Bungal invested P210,000 in Bud's Computer Repair Shop. The deposit slip
May 1
was #100.
Purchased repair equipment from Ocean Park for P30,000. Check # 4801 was
issued in the amount of P18,000. The balance was placed on account. The invoice
May 3
number was A998.
May 8
Repaired a customer's computer billing him P5,000 on billing #690.
Repaired a customer's computer for P8,800, of which 80% was collected in cash
with the balance placed on account. The billing slip was #691. The deposit slip was
May 10
#398765.
Received and paid the telephone bill by issuing check #4802 in the amount of
P3,000
May 12
May 13
Purchased repair supplies by issuing check #4803 in the amount of P2,500.
Collected the amount due from the customer of billing sup #690. The deposit was
May 14
number 459086.
Issued check #4804 in the amount of P9,000 to Ocean Park as a partial payment
May 18
for the equipment purchased on May 3.
Repaired a customer's computer and collected P6,000. The deposit slip was
#789190.
May 20
May 21
Received electric bill for the month of May in the amount of P1,500.
Transcribed Image Text:Snip & Sketch O New Buddy Bungal invested P210,000 in Bud's Computer Repair Shop. The deposit slip May 1 was #100. Purchased repair equipment from Ocean Park for P30,000. Check # 4801 was issued in the amount of P18,000. The balance was placed on account. The invoice May 3 number was A998. May 8 Repaired a customer's computer billing him P5,000 on billing #690. Repaired a customer's computer for P8,800, of which 80% was collected in cash with the balance placed on account. The billing slip was #691. The deposit slip was May 10 #398765. Received and paid the telephone bill by issuing check #4802 in the amount of P3,000 May 12 May 13 Purchased repair supplies by issuing check #4803 in the amount of P2,500. Collected the amount due from the customer of billing sup #690. The deposit was May 14 number 459086. Issued check #4804 in the amount of P9,000 to Ocean Park as a partial payment May 18 for the equipment purchased on May 3. Repaired a customer's computer and collected P6,000. The deposit slip was #789190. May 20 May 21 Received electric bill for the month of May in the amount of P1,500.
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