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Your progress

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Completed:

Completed: 59% 59% (approximately)(approximately) Remaining pages will take:

Remaining pages will take: up to 7 up to 7 hourshours The time frames we provide are a guide only. It may The time frames we provide are a guide only. It may take you more or less time to complete each step. take you more or less time to complete each step.

Your grading

Your grading

 Your

 Your grading grading outcome (still outcome (still in in progressprogress))

Awar

Awarded ded TotalTotal Po

Poinints ts ((pprrioior r to to ththis is ppaaggee) ) 66114 4 662266 P

Pooiinntts s ((oon n tthhiis s ppaaggee) ) 11220 0 112211 Points (

Points (after after  tthhiis s ppaaggee) ) − − 228899 T

Toottaal l 77334 4 11,,003366

Manual Accounting Practice Set Manual Accounting Practice Set Hi-Fi Way, Australasian Edition 3 Hi-Fi Way, Australasian Edition 3

Feedback:

Feedback:

E

E

nd of mont

nd of mont

h posting

h posting

This is a feedback page.

This is a feedback page.  Please review this page carefully because later pages in this practice set build on the feedback provided  Please review this page carefully because later pages in this practice set build on the feedback provided here. After you have reviewed your feedback page, click

here. After you have reviewed your feedback page, click ContinueContinue  at the bottom of this page to move on to the next page of   at the bottom of this page to move on to the next page of  your practice set.

your practice set.

Now that you have completed the June bank reconciliation process, you are ready to perform the end of month posting Now that you have completed the June bank reconciliation process, you are ready to perform the end of month posting

procedure. The purpose of this end of month posting is to transfer the totals from the special journals to the appropriate general procedure. The purpose of this end of month posting is to transfer the totals from the special journals to the appropriate general ledger accounts so that the balances in those ledger accounts reflect all of the transactions that occurred throughout the period. ledger accounts so that the balances in those ledger accounts reflect all of the transactions that occurred throughout the period.

Instructions for end of month posting Instructions for end of month posting

Total the remaining columns in the special journals. Record the amount in the Total row of each journal. Total the remaining columns in the special journals. Record the amount in the Total row of each journal.

Post the totals of the remaining columns in the special journals to their corresponding ledger account. To confirm that the Post the totals of the remaining columns in the special journals to their corresponding ledger account. To confirm that the posting has been performed, a posting reference is recorded in the last row of the special journals. If the total of a column posting has been performed, a posting reference is recorded in the last row of the special journals. If the total of a column is not required to be posted, you need to record an

is not required to be posted, you need to record an XX  in the post reference field for that column.  in the post reference field for that column.

Record the final unadjusted balance of each ledger account in the Unadjusted Balance row of each ledger, even for ledgers Record the final unadjusted balance of each ledger account in the Unadjusted Balance row of each ledger, even for ledgers with a balance of zero. Although each ledger already has a running balance, the Unadjusted Balance row must still be filled with a balance of zero. Although each ledger already has a running balance, the Unadjusted Balance row must still be filled out in order to receive full points.

out in order to receive full points. Back-On-Track functionality Back-On-Track functionality

Please note that any answers from previous pages carried through onto this page (either on the page or in a popup Please note that any answers from previous pages carried through onto this page (either on the page or in a popup information page) have been reset, if necessary, to the correct answers. Your particular answers from previous pages information page) have been reset, if necessary, to the correct answers. Your particular answers from previous pages are no longer shown.

are no longer shown. Remember:

Remember:

Enter all answers to the

Enter all answers to the nearest whole dollarnearest whole dollar.. You are also required to apply the

You are also required to apply the  journals and  journals and ledgledgers ers instructionsinstructions  provided in previous weeks.  provided in previous weeks. Before pressing the Submit answers button, we recommend that you click the

Before pressing the Submit answers button, we recommend that you click the Show AllShow All  tab and check that all relevant  tab and check that all relevant accounting records have been completed.

accounting records have been completed.

If you want to print this page, please read and follow the

If you want to print this page, please read and follow the special printing informationspecial printing information  to ensure you can print the special  to ensure you can print the special  journals in

 journals in full.full. 1) 1) 2) 2) 3) 3)

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Special Journals General Journal Subsidiary Ledgers   General Ledger

(Q=811.salesJournalEndMonth)

SALES JOURNAL

Date Account     Invoice

No.

Post 

Ref.   Amount 

Jun 5 ARC - Jerry Technology 501 110-3 1,920

Jun 13 ARC - Radio Hut 502 110-6 680

Jun 16 ARC - Turbo Tech 503 110-5 900

Jun 25 ARC - Radio Hut 504 110-6 720

Jun Jun Jun Jun Total 4220 Post Reference ( 110 ) / ( 400 ) Feedback

SALES JOURNAL

Date Account     Invoice

No.

Post 

Ref.   Amount  Jun 5 ARC - Jerry Technology 501 110-3 1,920 Jun 13 ARC - Radio Hut 502 110-6 680 Jun 16 ARC - Turbo Tech 503 110-5 900 Jun 25 ARC - Radio Hut 504 110-6 720

Total 4,220

Post Reference (110)/(400)

(Q=812.purchasesJournalEndMonth)

PURCHASES JOURNAL

Date Account Terms   Post 

Ref.   Amount 

Jun 3 APC - Mega Tech net 30 210-3 640

Jun 3 APC - Moon Megasystems 2/10, n/30 210-1 1,410 Jun 30 APC - JCN Electrical 2/10, n/30 210-4 880 Jun Jun Jun Jun Total 2930 Show All

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Post Reference

( 210 ) / ( 500 )

Feedback

PURCHASES JOURNAL

Date Account Terms   Post 

Ref.   Amount  Jun 3 APC - Mega Tech net 30 210-3 640 Jun 3 APC - Moon Megasystems 2/10, n/30 210-1 1,410 Jun 30 APC - JCN Electrical 2/10, n/30 210-4 880

Total 2,930

Post Reference (210)/(500)

(Q=813.cashReceiptsJournalEndMonth)

CASH RECEIPTS JOURNAL

Date Account     Post 

Ref. Debit Credit   Cash at  Bank  Discount   Allowed  Sales Revenue  Accounts Receivable Other   Accounts

Jun 1 Bank Loan Payable 250 53,000 53,000

Jun 5 Sales Revenue X 7,369 7,369

Jun 12 Sales Revenue X 9,898 9,898

Jun 13 ARC - Handys Electronics 110-1 2,229 248 2,477

Jun 16 ARC - Radio Hut 110-6 600 600

Jun 19 Sales Revenue X 9,312 9,312

Jun 20 ARC - Jerry Technology 110-3 1,292 1,292

Jun 26 Sales Revenue X 9,649 9,649

Jun 30 ARC - Hypertronics 110-4 2,592 2,592

Jun 30 Sales Revenue X 5,878 5,878

Jun 30 ARC - Radio Hut 110-6 -600 -600

Jun 30 Interest Revenue 403 217 217

Jun Jun Jun Jun Jun Jun Total 101,436 248 42106 6361 217 Post Reference (100) ( 573 ) ( 400 ) ( 110 ) ( X ) Feedback

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CASH RECEIPTS JOURNAL

Date Account     Post 

Ref. Debit Credit   Cash at  Bank  Discount   Allowed  Sales Revenue  Accounts Receivable Other   Accounts

Jun 1 Bank Loan Payable 250 53,000 53,000

Jun 5 Sales Revenue X 7,369 7,369

Jun 12 Sales Revenue X 9,898 9,898

Jun 13 ARC - Handys Electronics 110-1 2,229 248 2,477

Jun 16 ARC - Radio Hut 110-6 600 600

Jun 19 Sales Revenue X 9,312 9,312

Jun 20 ARC - Jerry Technology 110-3 1,292 1,292

Jun 26 Sales Revenue X 9,649 9,649

Jun 30 ARC - Hypertronics 110-4 2,592 2,592

Jun 30 Sales Revenue X 5,878 5,878

Jun 30 ARC - Radio Hut 110-6 -600 -600

Jun 30 Interest Revenue 403 217 217

Total 101,436 248 42,106 6,361 53,217

Post reference (100) (573) (400) (110) (X)

(Q=814.cashPaymentsJournalEndMonth)

CASH PAYMENTS JOURNAL

Date Account     Cheque

No. Post  Ref. Debit Credit    Accounts Payable   Purchases   Other   Accounts Cash at  Bank  Discount  Received 

Jun 3 APC - Pear Technology 903 210-2 2,083 2,062 21

Jun 5 Purchases 904 X 1,620 1,620

Jun 7 APC - JCN Electrical 905 210-4 2,252 2,207 45

Jun 13 APC - Pony 906 210-5 1,923 1,923

Jun 15 Wages Expense 907 516 5,595 5,595

Jun 25 APC - Moon Megasystems 908 210-1 5,298 5,298

Jun 28 APC - Mega Tech 909 210-3 2,635 2,635

Jun 29 Wages Expense 910 516 5,137 5,137

Jun 30 Salary Expense 911 545 5,900 5,900

Jun 30 Bank Charges X 572 6 6

Jun Jun Jun Jun Jun Jun Total 14191 1620 16638  32,383 66 Post Reference ( 210 ) ( 500 ) ( X ) (100) ( 402 )

(5)

  Feedback

CASH PAYMENTS JOURNAL

Date Account     Cheque

No. Post  Ref. Debit Credit    Accounts Payable   Purchases   Other   Accounts Cash at  Bank  Discount  Received  Jun 3 APC - Pear Technology 903 210-2 2,083 2,062 21

Jun 5 Purchases 904 X 1,620 1,620

Jun 7 APC - JCN Electrical 905 210-4 2,252 2,207 45

Jun 13 APC - Pony 906 210-5 1,923 1,923

Jun 15 Wages Expense 907 516 5,595 5,595

Jun 25 APC - Moon Megasystems 908 210-1 5,298 5,298

Jun 28 APC - Mega Tech 909 210-3 2,635 2,635

Jun 29 Wages Expense 910 516 5,137 5,137

Jun 30 Salary Expense 911 545 5,900 5,900

Jun 30 Bank Charges X 572 6 6

Total 14,191 1,620 16,638 32,383 66

Post reference (210) (500) (X) (100) (402)

(Q=815-100.CashAtBank_endMonth)

GENERAL LEDGER 

Account: Cash at Bank  Account No. 100

Date Description Ref. Debit Credit Balance

May 31 Balance 25,647 DR

J un 30 Total from cas h receipts journal CRJ 101,436 127,083 DR Jun 30 Total from cash payments journal CPJ 32,383 94,700 DR Jun 30

Jun 30 Jun 30

Jun 30 Unadjusted Balance 94700 DR

  Feedback

Account: Cash at Bank  Account No. 100

Date Description Ref. Debit Credit Balance

May 31 Balance 25,647 DR

Jun 30 Total from cash receipts journal CRJ 101,436 127,083 DR Jun 30 Total from cash payments journal CPJ 32,383 94,700 DR

Jun 30 Unadjusted Balance 94,700 DR

(Q=815-110-0.ARControl_endMonth)

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Account No. 110

Date Description Ref. Debit Credit Balance

May 31 Balance 11,430 DR

Jun 12 Sales return from Jerry Technology GJ 3,504 7,926 DR

Jun 30 Total from sales jou SJ 4220 0 12146 DR

Jun 30 Total from cash rec CRJ 0 6361 5785 DR

Jun 30 Jun 30

Jun 30 Unadjusted Balance 5785 DR

  Feedback

Account: ARC - Accounts Receivable Control  Account No. 110

Date Description Ref. Debit Credit Balance

May 31 Balance 11,430 DR

Jun 12 Sales return from Jerry Technology GJ 3,504 7,926 DR

Jun 30 Total from sales journal SJ 4,220 12,146 DR

Jun 30 Total from cash receipts journal CRJ 6,361 5,785 DR

Jun 30 Unadjusted Balance 5,785 DR

(Q=815-210-0.APControl_endMonth)

Account: APC - Accounts Payable Control  Account No. 210

Date Description Ref. Debit Credit Balance

May 31 Balance 14,017 CR

Jun 18 Purchase return to Mega Tech GJ 1,876 12,141 CR

Jun 30 Total from purchas PJ 0 2930 15071 CR

Jun 30 Total from cash pay CPJ 14191 0 880 CR

Jun 30 Jun 30

Jun 30 Unadjusted Balance 880 CR

  Feedback

Account: APC - Accounts Payable Control  Account No. 210

Date Description Ref. Debit Credit Balance

May 31 Balance 14,017 CR

Jun 18 Purchase return to Mega Tech GJ 1,876 12,141 CR

Jun 30 Total from purchases journal PJ 2,930 15,071 CR

Jun 30 Total from cash payments journal CPJ 14,191 880 CR

(7)

(Q=815-400.SalesRevenue_endMonth)

Account: Sales Revenue Account No. 400

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 30 Total from sales jou SJ 0 4220 4220 CR

Jun 30 Total from cash rec CRJ 0 42106 46326 CR

Jun 30

Jun 30 Unadjusted Balance 46326 CR

  Feedback

Account: Sales Revenue Account No. 400

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 30 Total from sales journal SJ 4,220 4,220 CR

Jun 30 Total from cash receipts journal CRJ 42,106 46,326 CR

Jun 30 Unadjusted Balance 46,326 CR

(Q=815-401.SalesReturns_endMonth)

Account: Sales Returns and Allowances Account No. 401

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 12 Sales return from Jerry Technology GJ 3,504 3,504 DR Jun 30

Jun 30 Jun 30

Jun 30 Unadjusted Balance 3504 DR

  Feedback

Account: Sales Returns and Allowances Account No. 401

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 12 Sales return from Jerry Technology GJ 3,504 3,504 DR

Jun 30 Unadjusted Balance 3,504 DR

(Q=815-402.DiscountReceived_endMonth)

Account: Discount Received  Account No. 402

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Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 30 Total from cash pay CPJ 0 66 66 CR

Jun 30 Jun 30

Jun 30 Unadjusted Balance 66 CR

  Feedback

Account: Discount Received  Account No. 402

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 30 Total from cash payments journal CPJ 66 66 CR

Jun 30 Unadjusted Balance 66 CR

(Q=815-500.Purchases_endMonth)

Account: Purchases Account No. 500

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 30 Total from purchas PJ 2930 0 2930 DR

Jun 30 Total from cash pay CPJ 1620 0 4550 DR

Jun 30

Jun 30 Unadjusted Balance 4550 DR

  Feedback

Account: Purchases Account No. 500

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 30 Total from purchases journal PJ 2,930 2,930 DR

Jun 30 Total from cash payments journal CPJ 1,620 4,550 DR

Jun 30 Unadjusted Balance 4,550 DR

(Q=815-501.PurchaseReturns_endMonth)

Account: Purchase Returns and Allowances Account No. 501

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 18 Purchase return to Mega Tech GJ 1,876 1,876 CR Jun 30

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Jun 30 Jun 30

Jun 30 Unadjusted Balance 1876 CR

  Feedback

Account: Purchase Returns and Allowances Account No. 501

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 18 Purchase return to Mega Tech GJ 1,876 1,876 CR

Jun 30 Unadjusted Balance 1,876 CR

(Q=815-573.Di scountAllowed_endMonth)

Account: Discount Allowed  Account No. 573

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 30 Total from cash rec CRJ 248 0 248 DR

Jun 30 Jun 30

Jun 30 Unadjusted Balance 248 DR

  Feedback

Account: Discount Allowed  Account No. 573

Date Description Ref. Debit Credit Balance

May 31 Balance 0

Jun 30 Total from cash receipts journal CRJ 248 248 DR

Jun 30 Unadjusted Balance 248 DR

Manual Accounting Practice Set 

Hi-Fi Way, Australasian Edition 3 (VBA3p) © 2010 Perdisco / latin /. v., learn thoroughly  http://www.perdisco.com

References

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