Knowee
Questions
Features
Study Tools

The following transactions are given May      1: Business started with cash of 150002: Goods purchased for cash 50003: Purchased goods from Mr. Agrawal 10005: Paid to Mr. Agrawal 10009: Paid for postage 12011: Deposited into bank 700014: Sold goods on credit to Ram 150015: Received cash from Ram 100019: Paid telephone charges of 6024: Purchased Furniture 3000029: Cash sales 90030: Received from Ram 50031: Paid salaries for the month of 15031: Purchase government securities 50031: Paid for advertising by cheque 150Required:  Journal Entries

Question

The following transactions are given May      1: Business started with cash of 150002: Goods purchased for cash 50003: Purchased goods from Mr. Agrawal 10005: Paid to Mr. Agrawal 10009: Paid for postage 12011: Deposited into bank 700014: Sold goods on credit to Ram 150015: Received cash from Ram 100019: Paid telephone charges of 6024: Purchased Furniture 3000029: Cash sales 90030: Received from Ram 50031: Paid salaries for the month of 15031: Purchase government securities 50031: Paid for advertising by cheque 150Required:  Journal Entries

...expand
🧐 Not the exact question you are looking for?Go ask a question

Solution

The language of the text is English. Here are the journal entries for the transactions:

May 1: Debit: Cash 15000 Credit: Capital 15000 (Started business with cash)

May 2: Debit: Inventory 5000 Credit: Cash 5000 (Purchased goods for cash)

May 3: Debit: Inventory 1000 Credit: Accounts Payable (Mr. Agrawal) 1000 (Purchased goods on credit from Mr. Agrawal)

May 5: Debit: Accounts Payable (Mr. Agrawal) 1000 Credit: Cash 1000 (Paid Mr. Agrawal)

May 9: Debit: Postage Expense 120 Credit: Cash 120 (Paid for postage)

May 11: Debit: Bank 7000 Credit: Cash 7000 (Deposited cash into bank)

May 14: Debit: Accounts Receivable (Ram) 1500 Credit: Sales 1500 (Sold goods on credit to Ram)

May 15: Debit: Cash 1000 Credit: Accounts Receivable (Ram) 1000 (Received cash from Ram)

May 19: Debit: Telephone Expense 60 Credit: Cash 60 (Paid for telephone charges)

May 24: Debit: Furniture 3000 Credit: Cash 3000 (Purchased furniture)

May 29: Debit: Cash 900 Credit: Sales 900 (Cash sales)

May 30: Debit: Cash 500 Credit: Accounts Receivable (Ram) 500 (Received cash from Ram)

May 31: Debit: Salaries Expense 150 Credit: Cash 150 (Paid salaries)

May 31: Debit: Government Securities 500 Credit: Cash 500 (Purchased government securities)

May 31: Debit: Advertising Expense 150 Credit: Bank 150 (Paid for advertising by cheque)

This problem has been solved

Similar Questions

Q-1: Journalise the following transactions:Jan-1 Ramesh started business with cash Rs. 50,000.Jan-4 Purchased goods for cash Rs. 7,000.Jan-5 Sold goods for cash Rs. 5,000.Jan-7 Purchased goods from Mohan on credit worth Rs. 4,500.Jan-12 Sold goods to Sohan on credit worth Rs. 2,000.Jan-16 Paid wages amounted to Rs. 4,000.Jan-17 Paid salaries to Rs. 2,500Jan-22 Received commission Rs. 2,000.Jan-25 Goods returned by Sohan worth Rs. 1,500.Jan-28 Returned goods to Mohan Rs. 1,000.Jan-30 Cash Received from Sohan Rs. 1,200.Jan-31 Purchased furniture from Deepak worth Rs. 5,000.

From following transaction related to Sundar and Co. Prepare Cash Book with two columns, for the months of September, 2019. Date Details Sept. 01 Bank Balance 01 Cash Balance Purchased goods and payment made by cheque 04 08 13 Sold goods for cash Purchased Machinery and payment made by cheque 16 Sold goods and received cheque (deposited same day) 17 Purchased goods for cash from Mrunal 20 Purchased Stationery and paid by cheque 24 Cheque given to Avadhut 27 Cash withdrawn from Bank 30 Paid Rent by cheque 30 Paid Salary Amount (2) 52,000 15,000 15,000 8,000 10,000 12,000 18,000 2,100 1,800 12,000 500 4,000

11. Following cash and banking transactions are given:         Poush 1: Cash in hand Rs. 70,000 and cash at bank  Rs. 50,000.      Poush 5: Goods purchased and paid through cheque Rs. 20,000.      Poush 7: Received cash for the sale of goods Rs. 22,000.     Poush 8: Purchased furniture and paid through cheque Rs.10,000.      Poush 20: Cash deposited into bank Rs. 30,000.      Poush 25: Withdrawn cash Rs. 15,000 from bank for domestic purpose.      Required:  Cash Book with Cash and Bank

Cash at bank Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 2 Capital 20000 20000 Dr 7 Sales 4000 24000 Dr 14 Purchases 1500 22500 Dr 17 Creditor XYZ Ltd 3000 19500 20 Sales 1500 21000 23 Debtor Jason 1900 22900 26 Creditor XYZ Ltd 1500 21400 Furniture Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 2 Cash at bank 5000 5000 Capital Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 2 Cash at bank 20000 20000 Cr Furniture 5000 25000 Cr Account Title: Purchases______________________________________ Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 4 Cash at bank 5500 5500 14 Cash at bank 1500 6500 Account Title: Creditor XYZ Ltd_______________________________________ Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 4 Purchases 5500 5500 10 Purchase returns 1000 6500 17 Cash at bank 2940 3560 Discount received 60 3500 26 Cash at bank 1500 2000 Account Title: Sales _______________________________________ Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 7 Cash at bank 4000 4000 14 Debtor- Jason 2500 1500 20 Cash at bank 1500 3000 Account Title: Purchases returns_______________________________________ Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 10 Creditor XYZ Ltd 1000 1000 Account Title: Debtor- Jason_______________________________________ Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 14 Sales 2500 2500 17 Sales returns 600 1900 23 Cash at bank 1862 38 Discount allowed 38 - Account Title: Discount received______________________________________ Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 17 Creditor XYZ Ltd 60 60 Cr Account Title: Sales returns_______________________________________ Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 17 Debtor- Jason 600 600 Account Title: Discount allowed_______________________________________ Date Particulars Folio Ref Debit (K) Credit (K) Balance (K) Jan 23 Debtor- Jason 38 38 Dr Change all these columnar accounts to T format accounts

(i) D. Mahapatra commenced business with cash ₹ 50,000 and ₹ 1,00,000 by cheque; goods ₹ 60,000; machinery ₹ 1,00,000 and furniture ₹ 50,000.(ii) 1/3rd of above goods sold at a profit of 10% on cost and half of the payment is received in cash.

1/3

Upgrade your grade with Knowee

Get personalized homework help. Review tough concepts in more detail, or go deeper into your topic by exploring other relevant questions.