. - - - . Assignment: Enter the following transactions in their appropriate accounts and balance them off for August 2018. August 1, Started business with shs 7,400,000 cash. August 2, Paid shs 7,000,000 of the opening cash into the bank. August 4, Bought goods on credit shs 410,000 from J.Watson. August 5, Bought a van by cheque shs 4,920,000. August 7, Bought goods for cash shs 362,000. August 10, Sold goods on credit shs 218,000 to L. Loss. August 12, Returned goods to J.Watson worth shs 42,000. August 19, Sold goods for cash 54,000. August 22, Bought Fixtures on credit from Fire Lighters ltd shs 820,000. August 24, F. Holmes lent us shs 1,500,000 paying us by cheque. August 29, We paid J.Watson his account by cheque shs 368,000. August 31, We paid Fire Lighters ltd by cheque shs 820,000.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
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enter journals for the following

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Assignment:
Enter the following transactions in their appropriate accounts and balance
them off for August 2018.
August 1, Started business with shs 7,400,000 cash.
August 2, Paid shs 7,000,000 of the opening cash into the bank.
August 4, Bought goods on credit shs 410,000 from J.Watson.
August 5, Bought a van by cheque shs 4,920,000.
August 7, Bought goods for cash shs 362,000.
August 10, Sold goods on credit shs 218,000 to L. Loss.
August 12, Returned goods to J.Watson worth shs 42,000.
August 19, Sold goods for cash 54,000.
August 22, Bought Fixtures on credit from Fire Lighters ltd shs 820,000.
August 24, F. Holmes lent us shs 1,500,000 paying us by cheque.
August 29, We paid J.Watson his account by cheque shs 368,000.
August 31, We paid Fire Lighters Itd by cheque shs 820,000.
Transcribed Image Text:-> Assignment: Enter the following transactions in their appropriate accounts and balance them off for August 2018. August 1, Started business with shs 7,400,000 cash. August 2, Paid shs 7,000,000 of the opening cash into the bank. August 4, Bought goods on credit shs 410,000 from J.Watson. August 5, Bought a van by cheque shs 4,920,000. August 7, Bought goods for cash shs 362,000. August 10, Sold goods on credit shs 218,000 to L. Loss. August 12, Returned goods to J.Watson worth shs 42,000. August 19, Sold goods for cash 54,000. August 22, Bought Fixtures on credit from Fire Lighters ltd shs 820,000. August 24, F. Holmes lent us shs 1,500,000 paying us by cheque. August 29, We paid J.Watson his account by cheque shs 368,000. August 31, We paid Fire Lighters Itd by cheque shs 820,000.
Assignmen
(ignore Nam auvisj;
Enter the following in the journal entrics (ignore narrations)
for May, 2019;
1. Started business with shs 18,000,000 in the Bank.
2. Bought goods on credit from Belinda shs 1,455,000.
3. Bought goods on credit from Smith shs 472,000.
4. Sold goods worth shs 210,000 for cash.
5. Returned goods to Belinda worth shs 82,000.
6. Bought goods on credit from Smith shs 370,000.
7. Sold goods to Patrick shs 483,000 on credit.
8. Took shs 250,000 out of cash and paid in Bank.
9. Bought a printer by cheque shs 1.000.000.
10.Sold goods on credit to Baker shs 394,000.
11.Patrick returned goods worth shs 160,000.
Transcribed Image Text:Assignmen (ignore Nam auvisj; Enter the following in the journal entrics (ignore narrations) for May, 2019; 1. Started business with shs 18,000,000 in the Bank. 2. Bought goods on credit from Belinda shs 1,455,000. 3. Bought goods on credit from Smith shs 472,000. 4. Sold goods worth shs 210,000 for cash. 5. Returned goods to Belinda worth shs 82,000. 6. Bought goods on credit from Smith shs 370,000. 7. Sold goods to Patrick shs 483,000 on credit. 8. Took shs 250,000 out of cash and paid in Bank. 9. Bought a printer by cheque shs 1.000.000. 10.Sold goods on credit to Baker shs 394,000. 11.Patrick returned goods worth shs 160,000.
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