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&RPSOHWHG DSSUR[LPDWHO\ 5HPDLQLQJSDJHVZLOOWDNH XSWRKRXUV The time frames we provide are a guide only. It may take you more or less time to complete each step.Your grading
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Transactions week 3
This is a feedback page. 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 Continue at the bottom of this page to move on to the next page of your practice set. Using the company's records that are provided below, you are now required to record transactions that occurred throughout the third week of June. The week 3 transactions are listed below: :HHN 'DWH 7UDQVDFWLRQGHVFULSWLRQ 3LNHDSDLGWKHIXOODPRXQWRZLQJRQWKHLUDFFRXQW 3DLGVDOHVVWDIIZDJHVRIIRUWKHWZRZHHNVXSWRDQGLQFOXGLQJ\HVWHUGD\&KHTXH1R 6ROG%OXH%HUU\3KRQHVWR7XUER7HFKIRUHDFK,QYRLFH1R 5HWXUQHGZRUWKRIIDXOW\SURGXFWWR%LJ7HOFR5HFHLYHGD&UHGLW1RWHIRU +DQG\V(OHFWURQLFVSDLGLQSDUWLDOSD\PHQWRIWKHLUDFFRXQW 5HFHLYHGDSXUFKDVHRUGHUIURP+DQG\V(OHFWURQLFV&UHDWHGDFRUUHVSRQGLQJVDOHVRUGHUWRGHOLYHU'. 'HVNWRS&RPSXWHUVWRWKLVFXVWRPHUIRUHDFK,QYRLFH1R 0DGHFDVKVDOHVRIGXULQJWKHZHHN Instructions for week 3 Record all week 3 transactions in the relevant journals. Note that special journals must be used where applicable. Any transaction that cannot be recorded in a special journal should be recorded in the general journal. Post entries recorded in the journals to the appropriate ledger accounts according to the company's accounting policies and procedures. Note that the relevant totals of the special journals will be posted to the general ledger accounts at the end of the month. You will enter this after you prepare the Bank Reconciliation Statement. 1) 2)KWWSZZZSHUGLVFRFRPHOPVTVDPKWPOTVDPDVS[ $5&7XUER7HFK BackOnTrack functionality 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 are no longer shown. Remember: You are required to enter all answers to the nearest whole dollar. When calculating a discount, if a discount is not a whole number, round the discount to the nearest whole dollar. Then, to calculate the cash at bank amount, subtract the discount from the original amount. There may be entries in the general journal that require posting to both a control account and a subsidiary ledger. In these cases, after you have posted to both ledgers, you should enter the reference for both the general ledger account and the subsidiary ledger account in the Post Ref. column to indicate that you have posted to both accounts. For example, if the reference number for the control account is 110 and the reference number for the subsidiary ledger account is 1101, you should type '110/1101' into the Post Ref. column. You are also required to apply the journals and ledgers instructions provided in Week 1.
Before pressing the Submit answers button, we recommend that you click the Show All tab and check that all relevant accounting records have been completed.
Special Journals General Journal Subsidiary Ledgers General Ledger
(Q=501.salesJournalWeek3)
SALES JOURNAL
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CASH RECEIPTS JOURNAL
Note: In order to receive full points, for each transaction you must select an account under the column labelled 'Account', as indicated under the additional instructions above. Since all transactions in this journal affect the Cash at Bank account, you are asked to enter the name of the appropriate account credited in these transactions into the Account column so that the type of transaction can be determined by the name of the account entered into this column.'DWH $FFRXQW 3RVW5HI 'HELW &UHGLW
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CASH RECEIPTS JOURNAL
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CASH PAYMENTS JOURNAL
Note: In order to receive full points, for each transaction you must select an account under the column labelled 'Account', as indicated under the additional instructions above. Since all transactions in this journal affect the Cash at Bank account, you are asked to enter the name of the appropriate account debited in these transactions into the Account column so that the type of transaction can be determined by the name of the account entered into this column.'DWH $FFRXQW &KHTXH1R 3RVW5HI 'HELW &UHGLW
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CASH PAYMENTS JOURNAL
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GENERAL JOURNAL
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GENERAL JOURNAL
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SUBSIDIARY LEDGERS
Account: ARC Pikea Account No. 1103'DWH 'HVFULSWLRQ 5HI 'HELW &UHGLW %DODQFH
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Account: ARC Pikea Account No. 1103
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Account: ARC Handys Electronics Account No. 1106
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GENERAL LEDGER
Account: Cash at Bank Account No. 100'DWH 'HVFULSWLRQ 5HI 'HELW &UHGLW %DODQFH
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