Hello! Could you help me with the general journal for this problem? Michelle French owns and operates Books and More, a retail book store. Selected account balances on June 1 are as shown: General Ledger   Cash $32,200.00 Accounts Payable 2,000.00 M. French, Drawing 18,000.00 Purchases 67,021.66 Purchases Returns and Allowances 2,315.23 Purchases Discounts 905.00 Freight-In 522.60 Rent Expense 3,125.00 Utilities Expense 1,522.87   Accounts Payable Ledger   Northeastern Publishing Co. $2,000.00   The following purchases and cash payments transactions took place during the month of June: June Transactions: June 1 Purchased books on account from Irving Publishing Company, $2,100. Invoice No. 101, terms 2/10, n/30, FOB destination.   2 Issued Check No. 300 to Northeastern Publishing Co. for goods purchased on May 23, terms 2/10, n/30, $1,960 (the $2,000 invoice amount less the 2% discount).   3 Purchased books on account from Broadway Publishing, Inc., $2,880. Invoice No. 711, less a 20% trade discount, and invoice terms of 3/10, n/30, FOB shipping point.   3 Issued Check No. 301 to Mayday Shipping for delivery from Broadway Publishing, Inc., $250.   4 Issued Check No. 302 for June rent, $625.   8 Purchased books on account from Northeastern Publishing Co., $5,825. Invoice No. 268, terms 2/eom, n/60, FOB destination.   10 Received a credit memo from Irving Publishing Company, $550. Books had been returned because the covers were on upside down.   13 Issued Check No. 304 to Broadway Publishing, Inc., for the purchase made on June 3. (Check No. 303 was voided because an error was made in preparing it.)   28 Made the following purchases:   Invoice No. Company Amount Terms 579 Broadway Publishing, Inc. $2,350 2/10, n/30, FOB destination 406 Northeastern Publishing Co. 4,200 2/eom, n/60, FOB destination 964 Riley Publishing Co. 3,450 3/10, n/30, FOB destination   June Transactions (continued): June 30 Issued Check No. 305 to Taylor County Utility Co. for June utilities, $325.   30 French withdrew cash for personal use, $4,500. Issued check no. 306.   30 Issued Check No. 307 to Irving Publishing Company for purchase made on June 1 less returns made on June 10.   30 Issued Check No. 308 to Northeastern Publishing Co. for purchase made on June 8.   30 Issued Check No. 309 for books purchased at an auction, $1,328.   Required: 1. Enter the transactions in a general journal (start with page 16).

Century 21 Accounting General Journal
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Chapter14: Accounting For Uncollectible Accounts Receivable
Section14.2: Writing Off And Collecting Uncollectible Accounts Receivable
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Hello! Could you help me with the general journal for this problem?

Michelle French owns and operates Books and More, a retail book store. Selected account balances on June 1 are as shown:
General Ledger
 
Cash $32,200.00
Accounts Payable 2,000.00
M. French, Drawing 18,000.00
Purchases 67,021.66
Purchases Returns and Allowances 2,315.23
Purchases Discounts 905.00
Freight-In 522.60
Rent Expense 3,125.00
Utilities Expense 1,522.87
 
Accounts Payable Ledger
 
Northeastern Publishing Co. $2,000.00
 
The following purchases and cash payments transactions took place during the month of June:
June Transactions:
June 1 Purchased books on account from Irving Publishing Company, $2,100. Invoice No. 101, terms 2/10, n/30, FOB destination.
  2 Issued Check No. 300 to Northeastern Publishing Co. for goods purchased on May 23, terms 2/10, n/30, $1,960 (the $2,000 invoice amount less the 2% discount).
  3 Purchased books on account from Broadway Publishing, Inc., $2,880. Invoice No. 711, less a 20% trade discount, and invoice terms of 3/10, n/30, FOB shipping point.
  3 Issued Check No. 301 to Mayday Shipping for delivery from Broadway Publishing, Inc., $250.
  4 Issued Check No. 302 for June rent, $625.
  8 Purchased books on account from Northeastern Publishing Co., $5,825. Invoice No. 268, terms 2/eom, n/60, FOB destination.
  10 Received a credit memo from Irving Publishing Company, $550. Books had been returned because the covers were on upside down.
  13 Issued Check No. 304 to Broadway Publishing, Inc., for the purchase made on June 3. (Check No. 303 was voided because an error was made in preparing it.)
  28 Made the following purchases:
 
Invoice No.
Company
Amount
Terms
579 Broadway Publishing, Inc. $2,350 2/10, n/30, FOB destination
406 Northeastern Publishing Co. 4,200 2/eom, n/60, FOB destination
964 Riley Publishing Co. 3,450 3/10, n/30, FOB destination
 
June Transactions (continued):
June 30 Issued Check No. 305 to Taylor County Utility Co. for June utilities, $325.
  30 French withdrew cash for personal use, $4,500. Issued check no. 306.
  30 Issued Check No. 307 to Irving Publishing Company for purchase made on June 1 less returns made on June 10.
  30 Issued Check No. 308 to Northeastern Publishing Co. for purchase made on June 8.
  30 Issued Check No. 309 for books purchased at an auction, $1,328.
 
Required:
1. Enter the transactions in a general journal (start with page 16).
2. Post from the journal to the general ledger accounts and the accounts payable ledger. Use account numbers as shown in the Chart of Accounts.
3. Prepare a schedule of accounts payable.
4. If merchandise inventory was $35,523 on January 1 and $42,100 as of June 30, prepare the cost of goods sold section of the income statement for the six months ended June 30, 20--.
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