Question: Texas Tea Exploration Co. was established on July 15, 2012, to provide oil-drilling services. Texas Tea uses field equipment (rigs and pipe) and field supplies

Texas Tea Exploration Co. was established on July 15, 2012, to provide oil-drilling services. Texas Tea uses field equipment (rigs and pipe) and field supplies (drill bits and lubricants) in its operations. Transactions related to purchases and cash payments during the remainder of July are as follows:

July 16. Issued Check No. 1 in payment of rent for the remainder of July, $6,000.

16. Purchased field equipment on account from Petro Services Inc., $26,400.

17. Purchased field supplies on account from Culver Supply Co., $8,750.

18. Issued Check No. 2 in payment of field supplies, $3,150, and office supplies, $500.

20. Purchased office supplies on account from A-One Office Supply Co., $1,200.

Post the journals to the accounts payable subsidiary ledger.

24. Issued Check No. 3 to Petro Services Inc., in payment of July 16 invoice.

26. Issued Check No. 4 to Culver Supply Co. in payment of July 17 invoice.

28. Issued Check No. 5 to purchase land, $190,000.

28. Purchased office supplies on account from A-One Office Supply Co., $2,970.

Post the journals to the accounts payable subsidiary ledger.

30. Purchased the following from Petro Services Inc. on account: field supplies, $22,980 and office equipment, $4,200.

30. Issued Check No. 6 to A-One Office Supply Co. in payment of July 20 invoice.

30. Purchased field supplies on account from Culver Supply Co., $10,200.

31. Issued Check No. 7 in payment of salaries, $29,000.

31. Rented building for one year in exchange for field equipment having a cost of $14,000.

Post the journals to the accounts payable subsidiary ledger.


Instructions

1. Journalize the transactions for July. Use a purchases journal and a cash payments journal, similar to those illustrated in this chapter, and a two-column general journal. Set debit columns for Field Supplies, Office Supplies, and Other Accounts in the purchases journal. Refer to the following partial chart of accounts:

11 Cash

14 Field Supplies

15 Office Supplies

16 Prepaid Rent

17 Field Equipment

18 Office Equipment

19 Land

21 Accounts Payable

61 Salary Expense

71 Rent Expense

At the points indicated in the narrative of transactions, post to the following subsidiary accounts in the accounts payable ledger:

A-One Office Supply Co.

Culver Supply Co.

Petro Services Inc.

2. Post the individual entries (Other Accounts columns of the purchases journal and the cash payments journal; both columns of the general journal) to the appropriate general ledger accounts.

3. Total each of the columns of the purchases journal and the cash payments journal, and post the appropriate totals to the general ledger. (Because the problem does not include transactions related to cash receipts, the cash account in the ledger will have a credit balance.)

4. Sum the balances of the accounts payable subsidiary ledger.

5. Why might Texas Tea consider using a subsidiary ledger for the field equipment?


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1 2 and 3 1 and 2 JOURNAL PAGE 1 Post Date Description Ref Debit Credit 2012 July 31 Prepaid Rent 16 14000 Field Equipment 17 14000 1 2 and 3 1 ACCOUN... View full answer

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