Friday, December 21, 2018

The debits and credits from three related transactions are presented in the following creditor’s account taken from the accounts payable ledger:

The debits and credits from three related transactions are presented in the following creditor’s account taken from the accounts payable ledger:

NAME Apex Performance Co. ADDRESS 101 W. Stratford Ave. Date Item
Post. Ref. Debit Credit Balance 20Y7 June    6 P4912,000 12,000  14 J12 15011,850 16 CP23 11,850  —




Describe each transaction and identify the source of each posting.


Answer:
June   
6. Purchased services, supplies, equipment, or other commodities on account; posted from purchases journal Page 49.
14. Received an invoice adjustment or corrected an error related to purchase of June 6; posted from general journal Page 12. (A payment would be recorded in the cash payments journal.)

16. Paid balance owed; posted from cash payments journal Page 23.

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