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Transactions related to revenue and cash receipts completed byAspen Architects Co. during the period June 2–30, 2016, are asfollows:

June 2.

Issued Invoice No. 793 to Nickle Co., $7,330.

June 5.

Received cash from Mendez Co. for the balance owed on itsaccount.

June 6.

Issued Invoice No. 794 to Preston Co., $2,640.

June 13.

Issued Invoice No. 795 to Shilo Co., $3,930.

Post revenue and collections to the accounts receivablesubsidiary ledger.

June 15.

Received cash from Preston Co. for the balance owed on June1.

June 16.

Issued Invoice No. 796 to Preston Co., $8,210.
Post revenue and collections to the accounts receivablesubsidiary ledger.

June 19.

Received cash from Nickle Co. for the balance due on invoice ofJune 2.

June 20.

Received cash from Preston Co. for invoice of June 6.

June 22.

Issued Invoice No. 797 to Mendez Co., $10,820.

June 25.

Received $2,990 note receivable in partial settlement of thebalance due on
the Shilo Co. account.

June 30.

Recorded cash fees earned, $18,460.
Post revenue and collections to the accounts receivablesubsidiary ledger.

Required:

1. Insert the following balances in the generalledger as of June 1:

11

Cash

$16,240

12

Accounts Receivable

19,780

14

Notes Receivable

8,610

41

Fees Earned

-

After completing the recording of the transactions in thejournals in part 3, total each of the columns of the specialjournals, and post the individual entries and totals to the generalledger. Insert account balances after the last posting. Whenposting to the general ledger, post in chronological order.However, if there is more than one entry on the same date, be sureto post transactions from the revenue journal before postingtransactions from the cash receipts journal.

If an amount box does not require an entry, leave it blank.

GENERAL LEDGER

Date

Item

Post.
Ref.

Debit

Credit

Balance Dr.

Balance Cr.

Account: Cash # 11

2016

June 1

Balance

✔

Account: Accounts Receivable # 12

2016

June 1

Balance

✔

Account: Notes Receivable # 14

2016

June 1

Balance

✔

Account: Fees Earned # 41

2016

2. Insert the following balances in theaccounts receivable subsidiary ledger as of June 1:

Mendez Co.

$11,370

Nickle Co.

-

Preston Co.

8,410

Shilo Co.

-

After completing the recording of the transactions in thejournals in part 3, post to the accounts receivable subsidiaryledger in chronological order, and insert the balances at thepoints indicated in the narrative of transactions. Determine thebalance in the customer's account before recording a cash receipt.If an amount box does not require an entry, leave it blank.

ACCOUNTS RECEIVABLE SUBSIDIARY LEDGER

Date

Item

Post. Ref.

Debit

Credit

Balance

Account: Mendez Co.

2016

June 1

Balance

✔

Account: Nickle Co.

2016

Account: Preston Co.

2016

June 1

Balance

✔

Account: Shilo Co.

2016

3. Prepare a single-column revenue journal (p.40) and a cash receipts journal (p. 36). Use the following columnheadings for the cash receipts journal: Fees Earned Cr., AccountsReceivable Cr., and Cash Dr. The Fees Earned column is used torecord cash fees.

4. Using the two special journals and thetwo-column general journal (p. 1), journalize the transactions inchronological order for June. Post to the accounts receivablesubsidiary ledger (in part 2), and insert the balances at thepoints indicated in the narrative of transactions. Determine thebalance in the customer's account before recording a cashreceipt.

5. Total each of the columns of the specialjournals, and post the individual entries and totals to the generalledger (in part 1). Insert account balances after the lastposting.

If an amount box does not require an entry, leave it blank.

REVENUE JOURNAL

PAGE 40

Date

Invoice No.

Account Debited

Post. Ref.

Accounts Rec. Dr.
Fees Earned Cr.

2016

✔

✔

✔

✔

✔

CASH RECEIPTS JOURNAL

PAGE 36

Date

Account Credited

Post. Ref.

Fees Earned Cr.

Accts. Rec. Cr.

Cash Dr.

2016

✔

✔

✔

✔

✔

JOURNAL

PAGE 1

Date

Description

Post Ref.

Debit

Credit

2016

6. What is the sum of the customerbalances?
$

Does the sum of the customer balances agree with the accountsreceivable controlling account in the general ledger?

7. Would an automated system omit postings to acontrolling account as performed in step 5 for AccountsReceivable?

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Patrina Schowalter
Patrina SchowalterLv2
28 Sep 2019

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