Prepare General Journal entries to record the following periodic system merchandising transactions for Safety Merchandising. Use a separate account for each receivable and payable: (Round your answers to the 2 decimal places.) October 1 Purchased merchandise from Zeon Company on eredit, terns 1/10, n/30, $14,800. 2 Sold merchandise for cash, $1, 600. 7 Purchased merchandise on credit from Billings Co., terma 2/10, n/30, $10,600, FOB the seller's factory. 7 Paid $350 cash for freight charges on the merehandise shipment of the previous transaction. 8 Purchased delivery equipment from Finlay Supplies on eredit, $14,000. 12 Sold merchandise on eredit to Conry Moldings, terms 3/15, 2/30, n/60, $4,800. 13 Received a $1,000 eredit memo for merchandise purehased on Oetober 7 and returned for eredit. 13 Purchased office supplies on credit from Staples, $520, n/30. 15 Sold merchandise on eredit to Ton Willis, terna 1/10, 1/30, n/60, $4,150. 15 Paid for the merchandise purehased on October 7. 16 Received a credit memo for unsatiafactory office supplies purehaned on Oetober 13 and returned, $110. 19 Issued a $320 credit memo to the customer who purchased merchandise on October 15 and returned a portion for credit. 25 Received payment for the merchandise sold on October 15. 29 The customer of October 12 paid for the purchase of that date. 31 Paid for the merchandise purchased on October 1.

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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Answer is not complete.
No
Date
General Jourmal
Debit
Credit
October 01
Purchases
14,800.00
Accounts payable- Zeon Company
14,800.00 O
2
October 02
Cash
1,600.00 O
Sales
1,600.00 C
3
October 07
Purchases
O 10,600.00 O
Accounts payable- Billings Company
10,600.00
O
4
October 07
Transportation-in
350.00 O
Cash
350.00
October 08
Delivery equipment
14,000.00 O
Accounts payable- Finlay supplies
14,000.00 O
6
October 12
Accounts receivable- Comry Holdings
4,800.00 O
4,800.00
Sales
Accounts payable-Billings Company
1,000.00 O
7
October 13
1,000.00 O
Purchase returns and allowances
Office supplies
520.00 O
8
October 13
520.00
Accounts Payable -Staples
October 13
Office supplies
520.00
Accounts Payable-Staples
520.00 C
9
October 15
Accounts receivable - Tom Willis
4,150.00 O
Sales
4,150.00 O
10
October 15
Accounts payable- Billings Company
Cash
Purchase discounts
11
October 16
Accounts Payable-Staples
110.00 O
Office supplies
110.00 O
12
October 19
Sales returns and allowances
320.00 O
Accounts receivable- Tom Willis
320.00 O
13
October 25
Cash
Sales discounts
Accounts receivable- Tom Willis
14
October 29
Cash
Sales discounts
4,800.00
Accounts receivable-Comry Holdings
14,800.00 O
October 31
Accounts payable- Zeon Company
15
14,800.00 O
Cash
Transcribed Image Text:Answer is not complete. No Date General Jourmal Debit Credit October 01 Purchases 14,800.00 Accounts payable- Zeon Company 14,800.00 O 2 October 02 Cash 1,600.00 O Sales 1,600.00 C 3 October 07 Purchases O 10,600.00 O Accounts payable- Billings Company 10,600.00 O 4 October 07 Transportation-in 350.00 O Cash 350.00 October 08 Delivery equipment 14,000.00 O Accounts payable- Finlay supplies 14,000.00 O 6 October 12 Accounts receivable- Comry Holdings 4,800.00 O 4,800.00 Sales Accounts payable-Billings Company 1,000.00 O 7 October 13 1,000.00 O Purchase returns and allowances Office supplies 520.00 O 8 October 13 520.00 Accounts Payable -Staples October 13 Office supplies 520.00 Accounts Payable-Staples 520.00 C 9 October 15 Accounts receivable - Tom Willis 4,150.00 O Sales 4,150.00 O 10 October 15 Accounts payable- Billings Company Cash Purchase discounts 11 October 16 Accounts Payable-Staples 110.00 O Office supplies 110.00 O 12 October 19 Sales returns and allowances 320.00 O Accounts receivable- Tom Willis 320.00 O 13 October 25 Cash Sales discounts Accounts receivable- Tom Willis 14 October 29 Cash Sales discounts 4,800.00 Accounts receivable-Comry Holdings 14,800.00 O October 31 Accounts payable- Zeon Company 15 14,800.00 O Cash
Prepare General Journal entries to record the following periodic system merchandising transactions for Safety Merchandising. Use a
separate account for each receivable and payable: (Round your answers to the 2 decimal places.)
October 1 Purchased merchandine from Zeon Company on credit, terma 1/10, n/30, $14,800.
2 Sold merchandise for cash, $1, 600.
7 Purchased merchandise on credit from Billings Co., terma 2/10, n/30, $10,600, FOB the seller's factory.
7 Paid $350 cash for freight charges on the merchandise shipment of the previous transaction.
8 Purchased delivery equipment from Finlay Supplies on eredit, $14,000.
12 Sold merchandise on credit to Comry Moldings, terms 3/15, 2/30, n/60, $4,800.
13 Received a $1,000 credit memo for merchandine purchased on Oetober 7 and returned for credit.
13 Purchaned office supplies on credit from Staples, $520, n/30.
15 Sold merchandise on credit to Ton Willis, terna 1/10, 1/30, n/60, $4,150.
15 Paid for the merchandise purchased on October 7.
16 Received a credit memo for unsatisfactory office supplien purchaned on October 13 and returned, $110.
19 Issued a $320 credit memo to the customer who purchased merchandise on october 15 and returned a portion for
credit.
25 Received payment for the merchandise sold on October 15.
29 The customer of October 12 paid for the purchase of that date.
31 Paid for the merchandise purchased on October 1.
Transcribed Image Text:Prepare General Journal entries to record the following periodic system merchandising transactions for Safety Merchandising. Use a separate account for each receivable and payable: (Round your answers to the 2 decimal places.) October 1 Purchased merchandine from Zeon Company on credit, terma 1/10, n/30, $14,800. 2 Sold merchandise for cash, $1, 600. 7 Purchased merchandise on credit from Billings Co., terma 2/10, n/30, $10,600, FOB the seller's factory. 7 Paid $350 cash for freight charges on the merchandise shipment of the previous transaction. 8 Purchased delivery equipment from Finlay Supplies on eredit, $14,000. 12 Sold merchandise on credit to Comry Moldings, terms 3/15, 2/30, n/60, $4,800. 13 Received a $1,000 credit memo for merchandine purchased on Oetober 7 and returned for credit. 13 Purchaned office supplies on credit from Staples, $520, n/30. 15 Sold merchandise on credit to Ton Willis, terna 1/10, 1/30, n/60, $4,150. 15 Paid for the merchandise purchased on October 7. 16 Received a credit memo for unsatisfactory office supplien purchaned on October 13 and returned, $110. 19 Issued a $320 credit memo to the customer who purchased merchandise on october 15 and returned a portion for credit. 25 Received payment for the merchandise sold on October 15. 29 The customer of October 12 paid for the purchase of that date. 31 Paid for the merchandise purchased on October 1.
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