Ravilero Ltd uses the periodic inventory system and has control accounts and subsidiary ledgers for trade receivables and payables. The general ledger control account balances at 1 June 2019 were: Accounts receivable control $123,470 Accounts payable control 144,800 The following transactions took place during June: Credit inventory sales for the month   $161,970 Cash inventory purchases for the month   117,020 Credit inventory purchases for the month   82,040 Cash payments to creditors for the month   161,120 Discount received for the month   3,820 Discount allowed for the month   2,970 Cash receipts from customers for the month   164,720 Cash inventory sales for the month   11,870 June 8: Goods (unpaid) returned by customer   11,770 June 11: Bill payable accepted by creditor in respect of balance of account   3,490 June 16: Goods (paid for) returned to supplier and received cash   9,010 June 21: Offset of accounts receivable and payable recorded   11,870 June 23: Goods (paid for) returned by customer and they were given cash   8,370 June 28: Goods (unpaid) returned to supplier   11,020 Prepare the accounts receivable control and accounts payable control ledger accounts for the month of June 2019

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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Ravilero Ltd uses the periodic inventory system and has control accounts and subsidiary ledgers for trade receivables and payables. The general ledger control account balances at 1 June 2019 were:

Accounts receivable control $123,470
Accounts payable control 144,800


The following transactions took place during June:

Credit inventory sales for the month   $161,970
Cash inventory purchases for the month   117,020
Credit inventory purchases for the month   82,040
Cash payments to creditors for the month   161,120
Discount received for the month   3,820
Discount allowed for the month   2,970
Cash receipts from customers for the month   164,720
Cash inventory sales for the month   11,870
June 8: Goods (unpaid) returned by customer   11,770
June 11: Bill payable accepted by creditor in respect of balance of account   3,490
June 16: Goods (paid for) returned to supplier and received cash   9,010
June 21: Offset of accounts receivable and payable recorded   11,870
June 23: Goods (paid for) returned by customer and they were given cash   8,370
June 28: Goods (unpaid) returned to supplier   11,020



Prepare the accounts receivable control and accounts payable control ledger accounts for the month of June 2019.

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