Question 1 Prepare the appropriate ledgers accounts (General ledgers, purchase ledgers and sale ledgers) for the transactions. Question 2 Prepare a trial balance as at the end of the month

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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Date
02.01.2023
04.01.2023
05.01.2023
06.01.2023
07.01.2023
08.01.2023
10.01.2023
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31.01.2023
Transaction
Owner contributed RM50,000 cash to the business bank account
Borrowed RM10,000 from the bank as a loan
Prepare the appropriate ledgers accounts (General
Purchased pet clothing from "Pawsome Fabrics" on credit for RM3,000 ledgers, purchase ledgers and sale ledgers) for the
Purchased shop display shelves for RM1,500 cash
transactions.
Paid rent for the shop for RM1,000
Owner withdrew RM500 cash for personal use
Purchased office supplies for RM200 cash
Purchased toys from "Happy Tails" on credit for RM2,500
Paid utility bills for RM250
Sold pet collars to customer A on credit for RM500
Paid RM3,000 to "Pawsome Fabrics" for the credit purchase
Returned defective pet collars to "Pawsome Fabrics" for RM100 credit
Purchased cash register for RM800 cash
Purchased pet accessories from "Bling Bling Meow" on credit for RM1,800
Customer A paid RM500 for the credit sale
Paid internet bill for RM150
Sold pet leashes to customer D for RM350 cash
Sold pet beds to customer B on credit for RM700
Owner with drew RM300 worth of pettoys from the inventory for personal
use
Paid RM2,500 to "Happy Tails" for the credit purchase
Customer D returned a faulty pet leash for a full refund of RM350
Sold pet food to customer C on credit for RM400
Customer C paid RM400 for the credit sale
Received a late payment of RM700 from customer B for the credit sale
Paid the bank loan interest of RM50
Question 1
Question 2
Prepare a trial balance as at the end of the month
Transcribed Image Text:Date 02.01.2023 04.01.2023 05.01.2023 06.01.2023 07.01.2023 08.01.2023 10.01.2023 12.01.2023 14.01.2023 15.01.2023 15.01.2023 17.01.2023 18.01.2023 20.01.2023 20.01.2023 21.01.2023 22.01.2023 25.01.2023 27.01.2023 28.01.2023 29.01.2023 30.01.2023 31.01.2023 31.01.2023 31.01.2023 Transaction Owner contributed RM50,000 cash to the business bank account Borrowed RM10,000 from the bank as a loan Prepare the appropriate ledgers accounts (General Purchased pet clothing from "Pawsome Fabrics" on credit for RM3,000 ledgers, purchase ledgers and sale ledgers) for the Purchased shop display shelves for RM1,500 cash transactions. Paid rent for the shop for RM1,000 Owner withdrew RM500 cash for personal use Purchased office supplies for RM200 cash Purchased toys from "Happy Tails" on credit for RM2,500 Paid utility bills for RM250 Sold pet collars to customer A on credit for RM500 Paid RM3,000 to "Pawsome Fabrics" for the credit purchase Returned defective pet collars to "Pawsome Fabrics" for RM100 credit Purchased cash register for RM800 cash Purchased pet accessories from "Bling Bling Meow" on credit for RM1,800 Customer A paid RM500 for the credit sale Paid internet bill for RM150 Sold pet leashes to customer D for RM350 cash Sold pet beds to customer B on credit for RM700 Owner with drew RM300 worth of pettoys from the inventory for personal use Paid RM2,500 to "Happy Tails" for the credit purchase Customer D returned a faulty pet leash for a full refund of RM350 Sold pet food to customer C on credit for RM400 Customer C paid RM400 for the credit sale Received a late payment of RM700 from customer B for the credit sale Paid the bank loan interest of RM50 Question 1 Question 2 Prepare a trial balance as at the end of the month
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