Xion Supply uses a Sales Journal, a Purchases Journal, a Cash Receipts Journal, a Cash Disbursements Journal,

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Xion Supply uses a Sales Journal, a Purchases Journal, a Cash Receipts Journal, a Cash Disbursements Journal, and a General Journal. The following transactions occurred during the month of March 2014:
Mar. 3 Purchased merchandise for $5,500 on credit from Pace, Inc., terms 2/10, n/30.
9 Issued cheque # 210 to Narlin Corp. to buy store supplies for $900.
12 Sold merchandise on credit to K. Camp for $1,340, terms n/30, Cost, $800
17 Issued cheque # 211 for $3,000 to repay a note payable to City Bank.
20 Purchased merchandise for $7,000 on credit from LeBaron, terms 2/10, n/30.
29 Issued cheque # 212 to LeBaron to pay the amount due for the purchase of March 20, less the discount.
31 Paid salary of $3,400 to E. Brandon by issuing cheque # 213
31 Issued cheque # 214 to Pace, Inc., to pay the amount due for the purchase of March 3.
Required
On a sheet of notebook paper, draw a multicolumn Cash Disbursements Journal like the one that appears in Exhibit 7.13. Journalize the March transactions that should be recorded in the Cash Disbursements Journal.
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Related Book For  book-img-for-question

Fundamental Accounting Principles

ISBN: 978-0071051507

Volume I, 14th Canadian Edition

Authors: Larson Kermit, Tilly Jensen

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