Answer To: Assignment General information Al Wilson owns and runs a retail and wholesale surf shop, Surf Haven,...
Pulkit answered on May 11 2020
GnlJnl
GENERAL JOURNAL
Date Post
Description Ref. Debit Credit
March 17 Accounts Payable 2-1200 264.00
Inventory 1-1300 240.00
GST Paid 2-1330 24.00
Returned 2 damaged Boogie boards
26 Sales Returns and Allowances 4-1200 640.00
GST Collected 2-1310 64.00
Accounts Receivable 1-1200 704.00
1 sailboard returned by Sharkeys Wye River
Inventory 1-1300 400.00
Cost of Sales 5-1100 400.00 1 boogie
1 sailboard returned put back into inventory 2 surf manua
31 Cash register-depreciation 6-1500 350.00
Cash register-accumulated depreciation 1-3320 350.00
Annual depreciation of cash register
31 Invetory lost expenses 5-1200 140.00
Invetory 1-1300 140.00
Lost 1 boogie board and 2 surfing manual
31 Stationary Supplies Expense (650+730-540) 6-1800 840.00
Stationary Supplies 1-1400 840.00
Stationary Suppiles used during the month
31 Shop fittings equipment-depreciation 6-1300 1875.00
Shop fittings equipment-accumulated depreciation 1-3120. 1875.00
31 Motor vehicle-depreciation 6-1400 4400.00
Motor vehicle-accumulated depreciation 1-3220. 4400.00
31 Wages and Salaries Expense 6-1930. 540.00
Wages Payable 2-1700 540.00
Accrued Wages
PurJnl
PURCHASES JOURNAL Page: 11
Date P.O. Post. Freight GST Paid Accounts
No. Account Terms Ref. Inventory Paid (Outlays) Payable cost sale
March Surfboards 420 750 20
9 326 Custom Surfboards 2/10, n/30 5,040.00 504.00 5,544.00 Boogie Boards 120 240 15
9 327 Wave Rider 2/10, n/30 1,920.00 192.00 2,112.00 Surfing Manuals 10 25 30
12 328 Custom Surfboards 2/10, n/30 6,300.00 630.00 6,930.00 Sailboards 400 640
12 328 Seahorse Publishers 2/10, n/30 120.00 12.00 132.00
16 329 Wave Rider 2/10, n/30 1,440.00 144.00 1,584.00
19 330 Seahorse Publishers 2/10, n/30 100.00 10.00 110.00
23 331 Custom Surfboards 2/10, n/30 5,040 504.00 5,544.00
23 332 Seahorse Publishers 2/10, n/30 150.00 15.00 165.00
23 333 Wave Rider 2/10, n/30 8000 800.00 8,800.00
Total 28110.00 2811.00 30921.00
SalesJnl
SALES JOURNAL
Inv. Post Cost of Freight GST Accounts cost sale
Date No. Account Terms Ref. Goods Sold Sales Collected Collected Receivable Surfboards 420 750
March Boogie Boards 120 240
4 CR663 Airey’s Surf Club 2/10, n/30 1,110.00 2,055.00 50.00 210.50 2,315.50 Surfing Manuals 10 25
11 CR664 Sharkeys Wye River 2/10, n/30 3,340.00 6,190.00 50.00 624.00 6,864.00 Sailboards 400 640
15 CR665 Torquay Surf Club 2/10, n/30 7,230.00 13,275.00 50.00 1,332.50 14,657.50
22 CR666 Airey’s Surf Club 2/10, n/30 2,700.00 4,950.00 50.00 500.00 5,500.00
25 CR667 Sharkeys Wye River 2/10, n/30 7,240.00 12,640.00 50.00 1,269.00 13,959.00
Total 21620.00 39110.00 250.00 3936.00 43296.00
CRJ
CASH RECEIPTS JOURNAL
Date Debits Credits
Post Disc GST Cash at Cost of Cash Lessons Accounts GST
Account Ref. Exp Coll Bank Goods Sold Sales Receivable Collected Other
March cost sale
5 Torquay Surf Shop 4000.00 4000.00 Surfboards 420 750
8 Surfing lessons 1540.00 1400.00 140.00 Boogie Boards 120 240
9 Starkey’s Wye River 2400.00 2400.00 Surfing Manuals 10 25
12 suffing lessons-Point Hick 3410.00 3100.00 310.00
14 Airey’s Surf Club 1700.00 1700.00
17 Airey’s Surf Club 2315.50 2315.50
18 Sharkeys Wye River 124.8 12.48 6726.72 6864.00
18 Cash sales 2557.50 1290.00 2325.00 232.50
27 Surfing lessons 2695.00 2450.00 245.00
27 Cash sales 5065.50 1320.00 4605.00 460.50
28 Torquay Surf Shop 7000.00 7000.00
31 Commission 1200.00 1200.00
Total 124.8 12.48 40610.22 2610 6930 6950 24279.5 1388 1200
CPJ
CASH PAYMENTS JOURNAL
Debits Credits
Cheque Post Accounts GST Paid Cash at Discount GST Paid
Date Account No. Ref. Payable Rec'able Wages Vehicle Drawings Other Bank Received Rec'able
March
1 Printing expenses 201 54.00 540.00 594.00
1 purchase new cash register 210.00 2,100.00 2,310.00
2 rent (Prime real estate) 203 420.00 4,200.00 4,620.00
3 advertising expenses 204 26.00 260.00 286.00
8 Seahorse Publishers 205 2,300.00 2,300.00
9 vehicle expense-GMJ autos 206 27.00 270.00 297.00
10 Wave Rider 207 5,500.00 5,500.00
10 Purchase stationary supplies 208 73.00 730.00 803.00
12 wages - Carl 209 840.00 840.00
12 wages - Brian 210 900.00 900.00
16 cash drawings 211 2,000.00 2,000.00
16 vehicle expenses 212 20.00 200.00 220.00
19 GST Paid to ATO 213 2-1310 560.00 560.00
20 Wave Rider 214 1,320.00 1,293.60 24.00 2.40
21 Custom Surfboards 215 3,700.00 3,700.00
24 Custom Surfboards 216 6,930.00 6,930.00
24 Paid monthly repayment 217 1,500.00 1,500.00
24 Interest expenses 217 50.00 50.00
25 Telstra Ltd 218 52.00 520.00 572.00
26 wages-Carl 219 900.00 900.00
26 wages-Brian 220 720.00 720.00
31 bank fees expense 35.00 35.00
Total 19,750 1,442 3,360 470 2,000 9,935 36,931 24 2.40
GenLdger-Rbal
GENERAL LEDGER
Name: CASH AT BANK Acct No.: 1-1110
Post.
Date Explanation Ref. Debit Credit Balance
March
1 Opening Balance 10500.00 10500.00
31 Trade Accts Rec. Control CRJ 40610.22 51110.22
31 Trade Accts Pay. Control//Wages CPJ 36930.60 14179.62
Name: TRADE ACCOUNTS RECEIVABLE Acct No.: 1-1200
Post.
Date Explanation Ref. Debit Credit Balance
March
1 Opening Balance 8100.00 8100.00
26 Sales Returns & Allow. GJ 704.00 7396.00
31 Sales SJ 43296.00 50692.00
31 Payments Received CRJ 24279.50 26412.50
Name: INVENTORY Acct.:1-1300
Date Explanation Ref. Debit Credit Balance
March
1 Opening Balance 10500.00 10500.00
17 Returns to supplier GJ 240.00 10260.00
26 Returns from customer GJ 400.00 10660.00
31 Purchase inventory PJ 28110.00 38770.00
31 Cost of Sales SJ 21620.00 17150.00
31 Cost of Sales CRJ 2610.00 14540.00
31 Inventory Shortage Expense GJ 140.00 14400.00
Name: STATIONERY SUPPLIES Acct.:1-1400
Date Explanation Ref. Debit Credit Balance
March
1 Opening Balance 650.00 650.00
`
10 Purchase stationary supplies CPJ 730.00 1380.00
31 Stationary supplies expenses GJ 840.00 540.00
Name: SHOP FITTINGS-COST Acct No.: 1-3110
Post.
Date Explanation Ref. Debit Credit Balance
March
1 Opening Balance 12500.00 12500.00
Name: SHOP FTIINGS-ACCUMULATED DEPRECIATION Acct No.: 1-3120
March
1 Opening Balance 1450.00 1450.00
31 Depreciation expenses GJ 1875.00 3325.00
Name: MOTOR VEHICLE -COST Acct No.: 1-3210
Post.
Date Explanation Ref. Debit Credit Balance
March
1 Opening Balance 22000.00 22000.00
Name: MOTOR VEHICLE-ACCUMULATED DEPRECIATION Acct No.: 1-3220
Post.
Date Explanation Ref. Debit Credit Balance
March
1 Opening...