Revenue journal;
Guardian Security Services was established on January 15 to provide security services. The services provided during the remainder of the month are as follows:
Jan. 18. | Issued Invoice No. 1 to Murphy Co. for $490 on account. |
20. | Issued Invoice No. 2 to Qwik-Mart Co. for $340 on account. |
24. | Issued Invoice No. 3 to Hopkins Co. for $750 on account. |
27. | Issued Invoice No. 4 to Carson Co. for $680 on account. |
28. | Issued Invoice No. 5 to Amber Waves Co. for $120 on account. |
28. | Provided security services, $100, to Qwik-Mart Co. in exchange for supplies. |
30. | Issued Invoice No. 6 to Qwik-Mart Co. for $200 on account. |
31. | Issued Invoice No. 7 to Hopkins Co. for $295 on account. |
Instructions
1. Journalize the transactions for January, using a single-column revenue journal and a two-column general journal. Post to the following customer accounts in the accounts receivable ledger and insert the balance immediately after recording each entry: Amber Waves Co.; Carson Co.; Hopkins Co.; Murphy Co.; Qwik-Mart Co.
2 Post the revenue journal to the following accounts in the general ledger, inserting the account balances only after the last postings:
12 Accounts Receivable
14 Supplies
41 Fees Earned
3. a. What is the sum of the balances of the customer accounts in the subsidiary ledger at January 31?
b. What is the balance of the accounts receivable controlling account at January 31?
4. Assume Guardian Security Services began using a computerized accounting system to record the sales transactions on February 1. What are some of the benefits of the computerized system over the manual system?
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Chapter 5 Solutions
Accounting
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- Presented below is information related to Sunland Company for its first month of operations. Credit Sales Cash Collections Jan. 7 Austin Co. $11,100 Jan. 17 Austin Co. $7,700 15 Diaz Co. 8,000 24 Diaz Co. 4,800 23 Noble Co. 9,800 29 Noble Co. 9,800 Identify the balances that appear in the accounts receivable subsidiary ledger and the accounts receivable balance that appears in the general ledger at the end of January. Subsidary Ledger General Led Austin Co. Diaz Co. Noble Co. Balance of Accounts Receivable %24arrow_forward(a) On September 1, the balance of the Accounts Receivable control account in the general ledger of Ivanhoe Company was $10,790. The customers' subsidiary ledger contained account balances as follows: Hurley $1,320, Andino $2,710, Fowler $2,020, and Sogard $4,740. At the end of September, the various journals contained the following information. Sales journal: Cash receipts journal: General journal: Sales to Sogard $840, to Hurley $1,130, to Giambi $1,390, and to Fowler $1,210. Cash received from Fowler $1,370, from Sogard $2,300, from Giambi $280, from Andino $1,770, and from Hurley $1,100. An allowance is granted to Sogard $320. (b). Post the various journals. Post the items as individual items or as totals, whichever would be the appropriate procedure. (No sales discounts given.) Accounts Receivable Date Explanation Ref. Debit Credit Balance Sept. 1 Balance ✓ 10,790 S FR CRarrow_forwardThe following is information related to Sheridan Company for its first month of operations. Credit Sales Cash Collections Jan. 7 Austin Co. $ 10,600 Jan. 17 Austin Co. $ 7,500 15 Diaz Co. 7,700 24 Diaz Co. 4,300 23 Noble Co. 10,300 29 Noble Co. 10,300 Identify the balances that appear in the accounts receivable subsidiary ledger and the accounts receivable balance that appears in the general ledger at the end of January. Subsidiary Ledger Austin Co. Diaz Co. Noble Co. General ledger Balance of Accounts Receivable $ enter a dollar amount $ enter a dollar amount $ enter a dollar amount $ enter a dollar amountarrow_forward
- answer in text form please (without image)arrow_forwardHaresharrow_forwardOn September 1, the balance of the Accounts Receivable control account in the general ledger of Ivanhoe Company was $10,790. The customers' subsidiary ledger contained account balances as follows: Hurley $1,320, Andino $2,710, Fowler $2,020, and Sogard $4,740. At the end of September, the various journals contained the following information. Sales journal: Cash receipts journal: General journal: Sales to Sogard $840, to Hurley $1,130, to Giambi $1,390, and to Fowler $1,210. Cash received from Fowler $1,370, from Sogard $2,300, from Giambi $280, from Andino $1,770, and from Hurley $1,100. An allowance is granted to Sogard $320. (a) (b) Post the various journals. Post the items as individual items or as totals, whichever would be the appropriate procedure. (No sales discounts given.) Accounts Receivable Date Explanation Ref. Sept. 1 Balance Debit Credit Balance V 10,790 S CRarrow_forward
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