Question: Comprehensive problem: journal zing and posting to the general and subsidiary ledgers 120 min Sep. Che Figure Cash Payments Journal Cash Colu 58,448.88 13 Continuing

 Comprehensive problem: journal zing and posting to the general and subsidiary
ledgers 120 min Sep. Che Figure Cash Payments Journal Cash Colu 58,448.88

Comprehensive problem: journal zing and posting to the general and subsidiary ledgers 120 min Sep. Che Figure Cash Payments Journal Cash Colu 58,448.88 13 Continuing Problem This chapter will require you to record and post the purchases and cash A month has elapsed since Precision Computer Centre's year-end. Tony Freedman will use four specialized journals for recording business transactions in the month of September you will find two in Chapter 6, and two in this chapter. To assist you in recording the transactions the schedule of accounts payable as of August 31 is shown below. An updated chart of accounts with the current balance listed for each account is pro vided in Chapter 6 on page 306 The partial September transactions are as follows: 2022 5 Paid amount due to Staples, 5100, cheque No. 242. 5 Bought merchandise on account from Multi Systems, purchase order No. 4010, $450; terms are 3/10, 1/30. 6 Bought office supplies on account from Staples, purchase order No. 4011, $250; terms are n/30. 10 Purchased merchandise on account from Computer Connection, purchase order No. 4012, 5500; terms are 1/30, n/60. Paid Multi Systems re September 5 purchase, less discount, cheque No. 243. 13 Received West Bell phone bill for September, $70.00; terms n/30. 13 Received and paid City Electric bill for September, $80, cheque No. 244. 16 Remitted outstanding amount payable to Automated Payroll Service for September wages, $1,810. 18, cheque No. 245. 17 Issued debit memorandum No. 10 to Computer Connection for merchandise returned from purchase order No. 4012, 5100. 17 Paid net amount due to Computer Connection, less discount, cheque No. 246. 23 Paid Alpha Office Co the amount due from the end of August, cheque No. 247. 25 Paid for office supplies, $50, cheque No. 248. 27 Wrote cheque No. 249 to Able Holdings Inc. for September, October, and November rent, $1,200.00 30 Wrote cheque No. 250 to Automated Payroll Service for September wages, $3,740.20. 30 Pald amount due to West Bell Canada as of August 31 plus the September phone bill received September 13, cheque No. 251. Total $216.00. (Continued enfuritno Schedule of Accounts Payable Precision Computer Centre August 31, 2022 Alpha Office Co. $ 420.00 City Newspaper 375.00 Staples 100.00 West Bell Canada 146.00 Total Amount Payable $1,041.00 Assignment 1. Journalize the transactions in the appropriate journals (cash payments, purchases, or general journal). 2. Record in the accounts payable subsidiary ledger and post to the gen- eral ledger as appropriate. A partial general ledger is included in the Excel templates in MyLab Accounting. 3. Prepare a schedule of accounts payable as of September 30, 2022

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