Prof .STAN
Transactions for June You will use the following five weeks of transactions as you complete the books for June. Note that the transactions are divided into five separate weeks to help you break your study time into blocks.
Week 1 Date Transaction description 1 Purchased Coffee Cup Lids from Abejundio Coffee for $160, terms net 30. 1 Purchased Gourmet Cubed Sugar from Brazil Imports Group for $200, terms 2/10, n/30. 1 Obtained a loan of $55,000 from MRMC Bank at a simple interest rate of 6% per year. The first interest
payment is due at the end of August 20XX and the principal of the loan is to be repaid at the beginning of June four years later.
2 Paid the full amount owing to East Tangiers Co-op., Check No. 903. Payment fell within discount period. 2 Paid the full amount owing to Buena Vista Coffee, Check No. 904. Payment fell within discount period. 3 Purchased Gourmet Cream with cash for $220, Check No. 905. 4 Made cash sales of $5,961 during the first 4 days of the month. 7 Sold 5 bags of Medium Roast Arabica Coffee Beans to SloZone for $287 each, Invoice No. 201.
Week 2 Date Transaction description 9 Central Coffee paid the full amount owing on their account. Since Central Coffee has been a loyal
customer from the day the business commenced, a 10% discount was given for this early repayment. 11 Made cash sales of $10,081 during the week. 11 SloZone returned $1,198 worth of product. Issued a Credit Memorandum for $1,198. 12 Sold Chocolate Sprinkles to Jandesh's Hot Spot for $484, Invoice No. 202. 13 Paid the full amount owing to Klam Wholesalers, Check No. 906.
Week 3 Date Transaction description 15 Paid sales staff wages of $5,103 for the two weeks up to and including yesterday, Check No. 907. 17 Sold 10 boxes of Plastic Condiment Containers to Revamp Coffee Carts for $206 each, Invoice No. 203. 18 Made cash sales of $9,658 during the week. 18 Returned $1,403 worth of faulty product to Abejundio Coffee. Received a Credit Memorandum for
$1,403. 19 Jandesh's Hot Spot paid $300 in partial payment of their account. 21 SloZone paid the full amount owing on their account. 21 Received a purchase order from Jandesh's Hot Spot. Created a corresponding sales order to deliver
Gourmet Cream to this customer for $470, Invoice No. 204.
COFFEE & CAFÉ SUPPLIER - US GAAP EDITION 3 (PCU3e) 13
Week 4 Date Transaction description 24 Delivered Gourmet Cream to Jandesh's Hot Spot for $470, Invoice No. 204, which was ordered on the
21st. 25 Made cash sales of $9,592 during the week. 26 Paid the full amount owing to Brazil Imports Group, Check No. 908. 27 Paid the full amount owing to Abejundio Coffee, Check No. 909. 28 Ordered Organic Chocolate Cream Liqueur from Buena Vista Coffee for $155, agreed terms with Buena
Vista Coffee are 2/10, n/30.
Week 5 Date Transaction description 29 Paid sales staff wages of $5,582 for the two weeks up to and including yesterday, Check No. 910. 30 Received Organic Chocolate Cream Liqueur for $155, which was ordered on the 28th, agreed terms with
Buena Vista Coffee are 2/10, n/30. 30 Quick Bolt Coffee paid the full amount owing on their account. 30 Made cash sales of $6,629 during the last 5 days of the month. 30 Paid monthly salary of $5,200 to Adrian Bartos, Check No. 911.
14 PERDISCO ACCOUNTING PRACTICE SET (PCU3e)
General journal
Date Account and Explanation PostRef. Debit Credit
Record transaction entries below Record bank reconciliation entries on the next page
16 PERDISCO ACCOUNTING PRACTICE SET (PCU3e)
General journal
Date Account and Explanation PostRef. Debit Credit
Record bank reconciliation entries below Record adjusting entries on the next page
COFFEE & CAFÉ SUPPLIER - US GAAP EDITION 3 (PCU3e) 17
General journal
Date Account and Explanation PostRef. Debit Credit
Record adjusting entries below Record closing entries on the next page
18 PERDISCO ACCOUNTING PRACTICE SET (PCU3e)
General journal
Date Account and Explanation PostRef. Debit Credit
Record closing entries below Record reversing entries on the next page
COFFEE & CAFÉ SUPPLIER - US GAAP EDITION 3 (PCU3e) 19
General journal
Date Account and Explanation PostRef. Debit Credit
Record reversing entries below
20 PERDISCO ACCOUNTING PRACTICE SET (PCU3e)
Sales journal
Date Account InvoiceNo. Post Ref. Amount
Purchases journal
Date Account Terms PostRef. Amount
COFFEE & CAFÉ SUPPLIER - US GAAP EDITION 3 (PCU3e) 21
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- Publisher
- Production team
- Publisher's thanks
- Copyright notice
- About the authors
- Contents
- Study time guidelines
- Overview
- Background information
- Accounting policies
- Accounting procedures
- Instructions
- 1. Transactions
- 2. End of month posting
- 3. Bank reconciliation
- 4. Unadjusted trial balance
- 5. Worksheet
- 6. Adjusting entries
- 7. Schedules of accounts
- 8. Financial statements
- 9. Closing entries
- 10. Post-closing trial balance
- 11. Reversing entries
- Further information
- Chart of accounts
- Schedule of accounts receivable ~ May
- Schedule of accounts payable ~ May
- Post-closing trial balance ~ May
- Bank reconciliation statement ~ May
- Bank statement ~ June
- Transactions for June
- General journal
- General journal
- General journal
- General journal
- General journal
- Sales journal
- Purchases journal
- Cash receipts journal
- Cash payments journal
- Blank page for your notes
- Accounts receivable subsidiary ledger
- Accounts receivable subsidiary ledger
- Accounts payable subsidiary ledger
- Accounts payable subsidiary ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- General ledger
- Blank page for your notes
- Bank reconciliation statement ~ June
- Blank page for your notes
- Schedule of accounts receivable
- Schedule of accounts payable
- Blank page for your notes
- Blank page for your notes
- Blank page for your notes