Concept explainers
(a)
Purchase journal
Purchase journal refers to the journal that is used to record all purchases on account. In the purchase journal, all purchase transactions are recorded only when the business purchased the goods on account. For example, the business purchased cleaning supplies on account.
Cash payments journal
Cash payments journal refers to the journal that is used to record the all transaction which is involve the cash payments. For example, the business paid cash to employees (salary paid to employees).
Accounts payable control account and subsidiary ledger
Accounts payable account and subsidiary ledger is the ledger which is used to
Subsidiary ledger
Subsidiary ledger refers to the ledger that provides the detailed information of the account already recorded in the general ledger such as
To prepare: A single column revenue journal and a cash receipts journal of H Tails Incorporation.
(b)
To prepare: The accounts payable creditors balance, and verify that the total agrees with the ending balance of accounts payable control account.
(c)
To discuss: The uses of subsidiary ledger for accounts payable.
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Working Papers, Chapters 1-17 for Warren/Reeve/Duchac's Accounting, 26th and Financial Accounting, 14th
- Happy Tails Inc. has a September 1, 20Y4, accounts payable balance of 620, which consists of 320 due Labradore Inc. and 300 due Meow Mart Inc. Transactions related to purchases and cash payments completed by Happy Tails Inc. during the month of September 20Y4 are as follows: a. Prepare a purchases journal and a cash payments journal to record these transactions. The forms of the journals are similar to those used in the text. Place a check mark () in the Post. Ref. column to indicate when the accounts payable subsidiary ledger should be posted. Happy Tails Inc. uses the following accounts: b. Prepare a listing of accounts payable creditor balances on September 30, 20Y4. Verify that the total of the accounts payable creditor balances equals the balance of the accounts payable controlling account on September 30, 20Y4. c. Why does Happy Tails Inc. use a subsidiary ledger for accounts payable?arrow_forwardCatherines 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?arrow_forwardPurchases and Cash Payments Journals Transactions related to purchases and cash payments completed by Wisk Away Cleaning Services Inc. during the month of May 20Y5 are as follows: May 1. Issued Check No. 57 to Bio Safe Supplies Inc. in payment of account, $345. May 3. Purchased cleaning supplies on account from Brite N’ Shine Products Inc., $200. May 8. Issued Check No. 58 to purchase equipment from Carson Equipment Sales, $2,860. May 12. Purchased cleaning supplies on account from Porter Products Inc., $360. May 15. Issued Check No. 59 to Bowman Electrical Service in payment of account, $145. May 18. Purchased supplies on account from Bio Safe Supplies Inc., $240. May 20. Purchased electrical repair services from Bowman Electrical Service on account, $110. May 26. Issued Check No. 60 to Brite N’ Shine Products Inc. in payment of May 3 invoice. May 31. Issued Check No. 61 in payment of salaries, $5,600. Wisk Away Cleaning Services Inc. uses the…arrow_forward
- Purchases and Cash Payments Journals Transactions related to purchases and cash payments completed by Wisk Away Cleaning Services Inc. during the month of May 20Y5 are as follows: May 1. Issued Check No. 57 to Bio Safe Supplies Inc. in payment of account, $360. 3. Purchased cleaning supplies on account from Brite N' Shine Products Inc., $220. 8. Issued Check No. 58 to purchase equipment from Carson Equipment Sales, $3,680. 12. Purchased cleaning supplies on account from Porter Products Inc., $310. 15. Issued Check No. 59 to Bowman Electrical Service in payment of account, $180. 18. Purchased supplies on account from Bio Safe Supplies Inc., $410. 20. Purchased electrical repair services from Bowman Electrical Service on account, $150. 26. Issued Check No. 60 to Brite N’ Shine Products Inc. in payment of May 3 invoice. 31. Issued Check No. 61 in payment of salaries, $7,050. Wisk Away Cleaning Services Inc. uses the following accounts: Cash 11…arrow_forwardSales and notes receivable transactionsThe following were selected from among the transactions completed byCaldemeyer Co. during the current year. Caldemeyer Co. sells andinstalls home and business security systems. (attached) InstructionsJournalize the entries to record the transactions.arrow_forwardHappy Tails Inc. has a September 1, 20Y4, accounts payable balance of $620, which consists of $320 due Labradore Inc. and $300 due Meow Mart Inc. Transactions related to purchases and cash payments completed by Happy Tails Inc. during the month of September 20Y4 are as follows:Sept. 4. Purchased pet supplies from Best Friend Supplies Inc. on account, $295.6. Issued Check No. 345 to Labradore Inc. in payment of account, $320.13. Purchased pet supplies from Poodle Pals Inc. on account, $790.18. Issued Check No. 346 to Meow Mart Inc. in payment of account, $300.19. Purchased office equipment from Office Helper Inc. on account, $2,510.23. Issued Check No. 347 to Best Friend Supplies Inc. in payment of account from purchase made on September 4.27. Purchased pet supplies from Meow Mart Inc. on account, $450.30. Issued Check No. 348 to Jennings Inc. for cleaning expenses, $80.a. Prepare a purchases journal and a cash payments journal to record these transactions. The forms of the journals are…arrow_forward
- Transactions related to purchases and cash payments completed by Wisk Away Cleaning Services Inc. during the month of May 20Y5 are as follows:May 1. Issued Check No. 57 to Bio Safe Supplies Inc. in payment of account, $345.3. Purchased cleaning supplies on account from Brite N’ Shine Products Inc., $200.8. Issued Check No. 58 to purchase equipment from Carson Equipment Sales, $2,860.12. Purchased cleaning supplies on account from Porter Products Inc., $360.15. Issued Check No. 59 to Bowman Electrical Service in payment of account, $145.18. Purchased supplies on account from Bio Safe Supplies Inc., $240.20. Purchased electrical repair services from Bowman Electrical Service on account, $110.26. Issued Check No. 60 to Brite N’ Shine Products Inc. in payment of May 3 invoice.31. Issued Check No. 61 in payment of salaries, $5,600.Prepare a purchases journal and a cash payments journal to record these transactions. The forms of the journals are similar to those illustrated in the text.…arrow_forwardCreate journalarrow_forwardPurchases and Cash Payments Transactions Emily Frank owns a small retail business called Frank’s Fantasy. The cash account has a balance of $20,900 on July 1. The following transactions occurred during July: July 1 Issued Check No. 414 in payment of July rent, $2,400. 1 Purchased merchandise on account from Tilly's Toys, Invoice No. 311, $3,000, terms 2/10, n/30. 3 Purchased merchandise on account from Scheer & Company, Invoice No. 812, $3,600, terms 1/10, n/30. 5 Returned merchandise purchased from Tilly's Toys, receiving a credit memo on the amount owed, $600. 8 Purchased merchandise on account from Donna's Dolls, Invoice No. 139, $2,940, terms 2/10, n/30. 11 Issued Check No. 415 to Tilly's Toys for merchandise purchased on account, less return of July 5 and less 2% discount. 13 Issued Check No. 416 to Scheer & Company for merchandise purchased on account, less 1% discount. 15 Returned merchandise purchased from Donna's Dolls, receiving a…arrow_forward
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